Tax & Treasury Accountant
- Employer
- Charlotte Tilbury Beauty
- Location
- New Cross London, GB, SE1 South East London, South East London, United Kingdom
- Salary
- Competitive Salary
- Closing date
- Feb 23, 2021
View more
- Job Role
- Tax Compliance
- Sector
- Finance
- Contract Type
- Permanent
- Hours
- Full Time
You need to sign in or create an account to save a job.
This newly created role sits within the Group Finance team, reporting to the Head of Group Finance.
As the Tax & Treasury Accountant, you will be responsible for all aspects of tax compliance and treasury management for the Group. This includes ensuring the Group meets statutory and regulatory tax obligations. As well as managing the cash flow forecasting and reporting.
Role Accountabilities
Tax
Treasury
Other
Requirements
As the Tax & Treasury Accountant, you will be responsible for all aspects of tax compliance and treasury management for the Group. This includes ensuring the Group meets statutory and regulatory tax obligations. As well as managing the cash flow forecasting and reporting.
Role Accountabilities
Tax
- Control and responsibility of taxation reporting and adherence to external deadlines
- Develop and implement Group tax strategy
- Establish robust controls and procedures to manage tax risk
- Implement new group transfer pricing policy and manage it on an ongoing basis
- Work with external tax accountants on all tax related matters, such as the preparation of annual tax returns, computations, capital allowances, R&D tax relief claims
- Provide adhoc advice for the business, using external tax accountants where required
- Responsible for Group quarterly corporation tax payment on account
- Key contact for HMRC and review and approval of UK VAT, Intrastat and EC Sales listings
- Monthly Balance Sheet reconciliations and posting of tax and VAT for the EMEA entities
- Prepare tax disclosures for Group consolidated and Group companies statutory accounts
- Responsible for Audit queries related to VAT and tax
- Keep up to date with current tax issues, ensuring Group remains compliant in all areas
- Lead on all tax related projects
Treasury
- Manage cash balances and working capital to satisfy cash flow requirements
- Preparation of Short-term Cash Flow forecast
- Preparing and reporting of monthly HSBC covenant data
- Manage FX exposure through market trades
- Responsible for all banking requests, including opening of bank accounts
- Monthly review of bank and cash recs
Other
- Responsible for managing the intercompany balances
- Working on ad-hoc tax and treasury projects
Requirements
- Qualified ACA, CTA, ACCA or equivalent
- Experience of tax reporting under both UK GAAP & IFRS desirable
- Experience working in the retail sector
- Good understanding of corporate tax, VAT and customs duties
- Treasury experience
- Excellent technical skill set
- Record of process improvements
- NetSuite experience is desirable
You need to sign in or create an account to save a job.
Get job alerts
Create a job alert and receive personalized job recommendations straight to your inbox.
Create alert