At a Glance
- Tasks: Lead tax and treasury functions, shaping strategy in a high-growth environment.
- Company: Join a dynamic, private equity-backed organisation in Manchester.
- Benefits: Competitive salary, bonus structure, and long-term incentives.
- Other info: Opportunity for career growth in a transformative business.
- Why this job: Make a strategic impact while working closely with senior leadership and investors.
- Qualifications: Professional qualification and experience in international tax and treasury management.
The predicted salary is between 80000 - 80000 £ per year.
Accountable Recruitment are proud to be exclusively working with our client who are a high-growth, private equity-backed organisation within the services sector. We are supporting the recruitment of a Tax and Treasury Leader into their growing team. This is a great opportunity for you to join a business undergoing a significant phase of transformation following recent acquisitions. As such, this role offers a rare opportunity to shape the tax and treasury function within a multi-jurisdictional, scaling group.
The Opportunity
Reporting directly into the Group Financial Controller and partnering closely with the CFO, this role will take ownership of the Group's tax, treasury and financial risk management activities on a global basis. You will play a key role in ensuring the business is structured effectively from a liquidity, funding and tax perspective, while also supporting integration activity and future strategic transactions. This is a highly visible role, offering direct exposure to senior leadership, investors and key external stakeholders.
Key Responsibilities
- Treasury & Capital Strategy
- Lead the development and implementation of the Group's treasury strategy aligned to wider business objectives
- Provide strategic input on capital structure, debt capacity and refinancing activity
- Oversee management of debt facilities, including covenant compliance and lender reporting
- Maintain and enhance treasury policies, including risk limits, hedging frameworks and governance controls
- Cash, Liquidity & Working Capital
- Oversee global cash management, forecasting and liquidity planning
- Manage cash pooling, intercompany funding and short-term financing needs
- Partner with finance teams to drive improvements in working capital performance
- Ensure sufficient liquidity to support operational and investment requirements
- Banking & Payments
- Manage and optimise global banking relationships and account structures
- Support the implementation and enhancement of treasury systems and payment platforms
- Strengthen payment controls and processes to mitigate risk and ensure governance
- Financial Risk Management
- Monitor and manage FX, interest rate and counterparty risks
- Design and deliver hedging strategies in line with policy
- Provide regular reporting to the CFO on exposures and risk position
- Support hedge accounting compliance alongside financial reporting teams
- Tax Strategy & Compliance
- Own and deliver the Group's tax strategy, balancing efficiency with a low-risk profile
- Ensure compliance across all corporate and indirect tax obligations globally
- Manage relationships with tax authorities and oversee audits or enquiries
- Lead tax reporting, including provisions, deferred tax and effective tax rate analysis
- International Tax & Transfer Pricing
- Develop and maintain transfer pricing frameworks and documentation
- Ensure compliance with global reporting requirements (e.g. CbCR, Pillar Two)
- Monitor regulatory developments and implement required changes
- Support tax-efficient structuring of cross-border activities
- M&A & Integration
- Lead treasury and tax integration of newly acquired businesses
- Support acquisition activity through financial structuring and due diligence
- Provide input on funding strategies and post-deal integration planning
- Oversee tax-related elements of purchase price allocation and balance sheet alignment
- Governance & Reporting
- Ensure a strong internal control environment across treasury and tax
- Deliver clear reporting to the CFO, Board and investors on key metrics and risks
- Act as a key point of contact for auditors on treasury and tax matters
- Ensure compliance with relevant regulatory frameworks
- Leadership
- Manage external advisors across treasury, tax and legal
- Drive best practice, continuous improvement and technical excellence
- Support the development of finance teams across the group
About You
We're looking for a technically strong and commercially aware leader with experience operating in complex, international environments. You will bring:
- Professional qualification (ACA, ACCA, CIMA or CTA)
- This role would suit a 1st or 2nd mover from Practice - with experience in tax ideally with a good understanding of corporate and international tax, including transfer pricing.
- Experience working in a tax role across a multi-entity, multi-currency business would be desirable
- Strong stakeholder management skills, with the ability to influence at exec level
What's on Offer
- Highly competitive salary and bonus structure
- Long-term incentive opportunity
- Exposure to a high-growth, acquisitive business
- A genuine opportunity to shape the function and make a strategic impact
- Direct interaction with senior leadership, investors and board
To discuss this role in more detail please contact Lauren Harrison at Accountable Recruitment.
Tax and Treasury Lead in Bolton employer: Accountable Recruitment
Join a dynamic and high-growth private equity-backed organisation in Manchester as a Tax and Treasury Lead, where you will have the unique opportunity to shape the tax and treasury function during a transformative phase. With a competitive salary, long-term incentives, and direct exposure to senior leadership and investors, this role offers a collaborative work culture that prioritises employee growth and strategic impact within a multi-jurisdictional environment.
StudySmarter Expert Advice🤫
We think this is how you could land Tax and Treasury Lead in Bolton
✨Tip Number 1
Network like a pro! Reach out to connections in the finance and tax sectors, especially those who might know about opportunities in high-growth companies. A personal recommendation can make all the difference.
✨Tip Number 2
Prepare for interviews by researching the company’s recent acquisitions and their impact on the tax and treasury landscape. This shows you’re not just interested in the role but also in how you can contribute to their growth.
✨Tip Number 3
Practice your pitch! Be ready to explain how your experience aligns with the responsibilities of managing global cash management and financial risk. Confidence is key when discussing your skills.
✨Tip Number 4
Don’t forget to apply through our website! It’s the best way to ensure your application gets noticed. Plus, we love seeing candidates who take that extra step to connect with us directly.
We think you need these skills to ace Tax and Treasury Lead in Bolton
Some tips for your application 🫡
Tailor Your CV:Make sure your CV is tailored to the Tax and Treasury Lead role. Highlight relevant experience and skills that match the job description, especially in tax strategy and financial risk management.
Showcase Your Achievements:Don’t just list your responsibilities; showcase your achievements! Use specific examples of how you've improved processes or managed risks in previous roles to demonstrate your impact.
Keep It Professional Yet Personal:While we want you to be professional, don’t shy away from letting your personality shine through. A bit of personal touch can make your application stand out in a sea of formal submissions.
Apply Through Our Website:We encourage you to apply directly through our website. It’s the best way for us to receive your application and ensures you’re considered for this exciting opportunity!
How to prepare for a job interview at Accountable Recruitment
✨Know Your Numbers
As a Tax and Treasury Lead, you'll need to be on top of your financial game. Brush up on key metrics related to cash management, liquidity planning, and tax compliance. Be ready to discuss how you've managed these areas in previous roles.
✨Understand the Business Landscape
Familiarise yourself with the company's recent acquisitions and how they impact the tax and treasury function. Show that you understand the strategic direction of the business and how you can contribute to its growth and transformation.
✨Prepare for Stakeholder Engagement
This role involves working closely with senior leadership and external stakeholders. Think about examples from your past where you've successfully influenced decision-making at an executive level. Be prepared to share these stories during the interview.
✨Showcase Your Technical Expertise
With a professional qualification like ACA or ACCA, make sure to highlight your technical skills in tax strategy and financial risk management. Be ready to discuss specific frameworks or policies you've implemented and their outcomes.