Job Description
This is a key role in Tax & Treasury team. Responsible for day-to-day administration of global bank accounts, Sales & Indirect taxes and cash management and funding. Key contributor to special projects – Implementation of new Treasury Management System, Migration to new EMEA VAT solution and other projects.
Responsibilities
Prepare monthly, quarterly and annual business and indirect tax returns (VAT, GST, Sales Tax) in multiple jurisdictions and coordinate with 3rd party service providers in preparation of International and US Federal and State tax filings
Bank Administration (User Admin, AML Clearance, On-boarding and Off-boarding new bank accounts)
Daily cash positioning and liquidity management
Prepare tax internal control checklists, tax related reconciliations and analysis and research technical income tax and sales tax issues
Support the Treasury Manager in global cash management, funding wires, IC settlements, FX transactions, weekly cashflow analysis
Participate in the implementation of a new Treasury Management System, new VAT solution for EMEA, new Global P-Card Program and other special projects and associated internal controls and processes
Qualifications
• Excellent written and verbal communication skills
• Strong attention to detail and multi-tasking skills
• Ability to work in a global environment with flexibility to work different timezones and build relationships across functions and geographies
• Ability to assist in the design and implementation of new business processes and systems to support the global growth
• Solid understanding of tax laws. Understanding of ASC 740 tax accounting preferred. Proficiency in MS Excel, experience with ERP systems preferred
• Bachelors’ degree: Master’s in Taxation or LLM plus CPA strongly preferred
• Minimum of 5 years of relevant experience at a public accounting firm or corporate tax/treasury department of a multi-national company