Treasury, Tax & Working Capital Manager in Bridgend

Treasury, Tax & Working Capital Manager in Bridgend

Bridgend Full-Time No working from home possible
Robert Half Careers

Robert Half Talent Solutions are exclusively hiring for a Treasury, Tax & Working Capital Manager

Treasury, Tax & Working Capital Manager

Location: Bridgend, Wales (Hybrid: 3 days on site, 2 days remote)
Salary: Competitive + 10% bonus + comprehensive benefits package
Reports to: Chief Financial Officer

About the Role

Are you a hand-on, senior finance professional looking to build and shape a critical capability?

As our Treasury, Tax & Working Capital Manager, you will transition our informal finance processes into a resilient, documented, and fully controlled function. Reporting directly to the CFO, you will take full ownership of cash forecasting, the FX hedging programme, credit insurance, and the end-to-end working-capital cycle.

This role is ideal for a qualified accountant with deep cash management exposure, including experienced Financial Controllers or Heads of Finance looking for a high-impact position. Technical tax preparation (such as transfer pricing and R&D claims) is outsourced to external advisers; your focus will be on leading tax governance and managing these strategic adviser relationships.

Key Responsibilities

  • Cash Management (12.5%): Build and run the rolling 13-week cash forecast and daily cash positioning to establish active cash management as a standard discipline.
  • FX & Hedging (7.5%): Manage and fully document the FX hedging programme against contracted currency exposures and committed payables, including year-end fair-value treatment.
  • Working Capital & Team Leadership: Drive the end-to-end working-capital cycle. You will partner closely with Procurement and provide direct leadership to the Group Credit Controller to optimise the collection side of the cash-conversion cycle.
  • Tax Governance: Own the governance, risk management, and strategic relationships with external tax advisers.
  • Process Resilience: Transition informal, key-person dependencies into structured, documented, and scalable financial disciplines.

What We Are Looking For

  • Qualifications: Fully qualified accountant (ACA, ACCA, CIMA, or equivalent).
  • Experience: Proven, hands-on experience in cash management, treasury operations, and working capital cycles.
  • Skills: Strong business-partnering capabilities, excellent documentation skills, and experience managing small teams or direct reports (like Credit Control).
  • Mindset: A proactive builder who enjoys creating order, documenting processes, and establishing robust governance.

What We Offer

  • Financial Reward: Competitive salary plus a performance-related 10% bonus.
  • Retirement & Security:8% company pension contribution and comprehensive life assurance.
  • Time Off:25 days annual leave plus all statutory bank holidays.
  • Health & Wellbeing: Paid sick pay and an active cycle-to-work scheme.
  • Culture: Regular company events and a collaborative, hybrid working environment.

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Treasury, Tax & Working Capital Manager in Bridgend employer: Robert Half Careers

Join a dynamic and innovative international organisation in Manchester, where your expertise as a Group Reporting Manager will be valued and impactful. With a strong focus on employee development, a collaborative work culture, and the opportunity to work closely with senior leadership, this role offers not just a competitive salary and bonus but also a chance to contribute to meaningful improvements within the finance function. Embrace the entrepreneurial spirit of our growing team and take your career to new heights in a supportive environment that champions professional growth.

Robert Half Careers

Contact Details:

Robert Half Careers Recruitment Team