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Tax & Treasury Manager

Hong Kong Exchanges and Clearing

City Of London

On-site

GBP 70,000 - 90,000

Full time

9 days ago

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Job summary

A leading financial organization in the City of London is seeking a Tax & Treasury Manager to support the financial operations. This role includes managing tax submissions, operational cash flow forecasting, and liaising with external advisors. Ideal candidates will be qualified accountants with relevant experience and strong analytical skills. Competitive salary and expert team environment are offered.

Qualifications

  • 2-5 years of post-qualification experience.
  • Qualified accountant with financial services or technology company experience.
  • Advanced MS Excel skills.

Responsibilities

  • Preparation and submission of quarterly VAT returns.
  • Forecasting and reviewing operational cash flows.
  • Coordination of tax payments and compliance.

Skills

Strong numerical and analytical skills
Meticulous and thorough
Excellent time management
Communication skills
Team player

Education

Qualified Accountant (ACA, CIMA, ACCA or equivalent)

Tools

SAP
Oracle
MS Excel
MS Word
PowerPoint
Job description
Tax & Treasury Manager

Shift Pattern: Standard 40 Hour Week (United Kingdom)

Scheduled Weekly Hours: 40

Corporate Grade: D - Assistant Vice President

Reporting Line: (UK Division) CFAO Office

Location: UK-London

Worker Type: Contract

This role focuses principally on supporting the Financial Controller with the tax, treasury and other operational responsibilities of the finance function but will also include other ad hoc responsibilities re reporting, accounting and system and process improvements.

Responsibilities

Responsibilities will include but are not limited to:

Tax
  • Preparation and submission of quarterly VAT returns including review of calculations for completeness, correct tax coding and reconciliations to supporting workings and general ledger balances
  • Provision of financial information to external advisors to facilitate the preparation of quarterly tax reporting and annual Corporation Tax returns. Coordination of responses to questions raised and review / challenge of calculations provided
  • Calculation of Corporation Tax Quarterly Instalment Payments
  • Coordination with and provision of information to external advisors, ensuring reporting and tax obligations are met for Singapore branch. Review of calculations for associated tax submissions
  • Monitoring and reconciliation of tax charged to / submitted by customers in other overseas locations to fulfil local reporting obligations
  • Calculation and submission of annual PAYE Settlement Agreement
  • Liaison with advisors to arrange training for team members and to ensure changes to tax landscape are considered and incorporated where appropriate
  • Coordination of tax payments ensuring all are made within required deadlines
  • Preparation and submission of annual Senior Accounting Officer declaration including review of supporting documentation and testing of associated controls
Tury
  • Forecasting and review of operational cash flows including management of cash balances and deposits.
  • Monitoring of deposit maturities and provision of instructions to deposit holders to maximise investment returns whilst ensuring sufficient funds are held to meet operational requirements
  • Forecasting and review of currency exposures. Coordination and management of existing hedging instruments and consideration / implementation of additional actions as required to minimize foreign exchange gains or losses
  • Liaison with local and parent company Treasury functions to identify new investment / risk management opportunities and to ensure relevant limits / restrictions are adhered to
Other
  • Co-ordination and preparation of Board / Committee papers including monthly Operational Governance Committee pack, tax strategy and dividend papers
  • FATCA and CRS coordination and reporting
  • Preparation / monitoring of Risk Appetite Statement metrics
  • Management of relationships, mandates, documentation and onboarding with banks and other counterparties
  • Review, update or creation of policy and procedure documentation related to role responsibilities
  • Work closely with other members of the Finance team to identify, define and develop system and/or process improvements
  • Deputation for Financial Controller as required
  • Other ad hoc tasks and support as required
Academic and Professional Qualifications Required
  • Qualified Accountant (2-5 years PQE) with a recognised accounting body (ACA, CIMA, ACCA or equivalent)
Required Knowledge and Level of Experience
  • Required: Qualified Accountant - ideally with financial services or technology company experience
  • Required: 2+ years post qualified experience in industry
  • Required: Advanced MS Excel, competent using MS Word, Powerpoint
  • Required: Experience of using a complex ERP system (SAP, Oracle etc.)
  • Preferred: Oracle R12 experience
Skills set and Core Competencies Required for Role
  • Strong numerical and analytical skills
  • Meticulous and thorough, with strong attention to detail
  • Excellent time management, ability to prioritise and to work under pressure to ensure all deadlines are met and deliverables are completed on time to a high quality
  • Ability to communicate financial information clearly
  • Ability to build and develop positive working relationships
  • Ability to work as part of a small team and also to work upon own initiative
Personal Qualities
  • Proactive, innovative and enthusiastic individual who is self-motivated and a team player
  • Able to work under pressure of deadlines
  • Highly motivated and driven individual who seeks to continuously improve and enhance processes and controls
  • Ability to build and develop positive working relationships, both inside and outside the Finance department and able to adapt personal style to different audiences
  • Demonstrable ability to work flexibly across different reporting lines and managing multiple stakeholders.
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