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Group Treasury And Tax Accountant

Pure Resourcing Solutions Limited

Uxbridge

Hybrid

GBP 50,000 - 70,000

Full time

4 days ago
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Job summary

A growing international business is seeking a Group Treasury and Tax Accountant based in Uxbridge. This hybrid role involves managing treasury operations, cash flow, and compliance across jurisdictions. Ideal candidates will have a degree in Finance or related fields, with relevant qualifications in Tax or Treasury being advantageous. French language skills are a plus. This opportunity offers strong prospects for career advancement.

Qualifications

  • Motivated individual with a degree in a relevant field.
  • Professional qualification in Tax or Treasury is advantageous.
  • French language skills desirable but not essential.

Responsibilities

  • Ownership of treasury operations and shaping tax strategy.
  • Manage cash flow, optimise capital deployment and compliance.
  • Role in credit risk and working capital management.

Skills

Treasury operations
Cash flow management
Tax compliance
Credit risk management

Education

Degree in Finance, Accounting, Economics
Professional qualification in Tax or Treasury
Job description
Overview

Group Treasury and Tax Accountant - Uxbridge (Hybrid, with travel to Belgium)

An excellent opportunity has arisen to join a growing international business in a newly created role as Group Treasury and Tax Accountant. Working closely with the CFO, you will be part of a small, collaborative finance team, based in Uxbridge on a hybrid basis (2-3 days per week), with travel to the head office in Belgium a couple of times each month. This position has been created due to the company's continued growth and offers strong prospects for career progression.

Responsibilities
  • Take ownership of treasury operations and help shape the group's international tax strategy.
  • Manage cash flow and liquidity, optimise capital deployment, and ensure compliance across multiple jurisdictions.
  • Play a pivotal role in credit risk and working capital management, liaising with finance teams across the business.
  • Managing daily bank balances and cash pooling.
  • Organising weekly cash runs and preparing cash forecasts.
  • Leading AR meetings and monitoring vendor payments.
  • Maintaining strong bank relationships, securing favourable interest rates and credit lines.
  • Overseeing VAT, intercompany accounts, loans, and management fees.
  • Supporting intercompany loan matching strategies and dormant company closures.
  • Reviewing dividend payments and ensuring tax compliance for subsidiaries.
About You (Qualifications)

We are looking for a motivated individual with a degree in Finance, Accounting, Economics, or a related field. A relevant professional qualification in Tax or Treasury would be highly advantageous. This could also be an excellent first move for someone coming from a practice background. French language skills would be desirable but are not essential.

How to Apply

To discuss this role in more detail please contact Mark Wishart at Pure on (phone number removed).

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