job / reporting, tax and treasury manager contract west central scotland glasgow 4292
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Reporting, Tax & Treasury Manager - Contract - Glasgow

up to £60,000 + Group Benefits - Accountancy
Ref: 4292 Date Posted: Tuesday 05 Feb 2019
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Financial Reporting, Tax & Treasury Manager required for the Group Finance team of this Glasgow based services organisation on a one-year fixed term contract.

This Senior role has responsibility for the integrity of the Financial and Tax Reporting of the organisation including preparation of the Statutory Accounts and Corporation Tax and VAT returns, and acts as the primary subject matter expert for accounting and tax queries. In addition, it has responsibility for managing and optimising the Treasury position. 

Reporting to the Group Financial Controller, your primary responsibilities will include:

  • Ensure accurate, on time preparation of the Statutory Accounts for the Group and its subsidiaries and compliance with relevant Financial Reporting Standards 
  • Manage the Treasury position, including
    • Monitoring and managing the cash flow forecast
    • Managing relationships with banks and financial institutions
    • Evaluating and ensuring the business obtains an appropriate return on its investments and cash holdings 
  • Supporting Finance, Audit and Investment Committee reporting requirements for areas of responsibility    
  • Provide and manage accounting and tax advice/structure and support to a significant development programme to ensure compliance, appropriate claims and reliefs are in place and accurate accounting records
  • Ensure an appropriate control framework is in place to prevent financial loss and ensure accurate financial and tax reporting is in place including ensuring appropriate policies, processes, controls and systems are in place
  • Maintain and ensure the integrity of the financial and tax reporting structure and control within the ERP 
  • Ensure accurate, on time reporting and compliance with tax legislation (excluding payroll taxes) impacting the Group and its subsidiaries including: ·VAT ·Corporation Tax ·Withholding Tax
  • Ensure appropriate advice is sought and processes are in place to claim relevant applicable reliefs for non-payroll taxes.
  • As required, lead ad hoc finance projects which align with the Groups' strategic objectives
  • Development and supervision of team members 

You will be a qualified Accountant, with experience of the following:

  • Experience of preparing and overseeing financial accounts preparation, including consolidations.
  • Preferential: Experience in VAT and corporation tax so as to manage the responsibilities and requirements of the team
  • Significant experience of managing professional service firms in both accounting and tax provision to ensure value for money, and timely and appropriate delivery
  • Proven experience of working as a key member of a multidisciplinary team, providing financial leadership, support and challenge
  • Proven experience of successfully leading continuous financial process improvement and change with demonstrable operational and financial efficiencies delivered   

Salary up to £60,000 plus comprehensive pension + benefits.  For further information contact Stuart Ringland on (0141) 530 4333 or email stuart@lusona.co.uk