Support the team with review and filing or delivery of the following compliance obligations for the funds:
Corporate and partnership tax returns across multiple jurisdictions.
US Schedule K-1 investor reporting.
Reportable income calculation and investors statements under the UK Reporting Fund regime.
Liaise with the fund administrator and external advisors to manage compliance and reporting requirements under FATCA, CRS and Economic Substance regimes.
Assist with the quarterly tax review of the Group\βs investment products, as well as maintenance of internal policies and framework documents.
Help monitor international tax developments and other tax projects as directed, for example considerations for addressing new markets/jurisdictions or new funds.
Assist with reviewing agreements and side letters for investments with third party managers.
Respond to tax queries from within the business and externally, ensuring that these are dealt with in a timely manner.
Assist with documentation and process for the launch of new entities in the structure, and ongoing requirements for existing entities including external correspondence with tax authorities.
Interact with various other internal departments including Finance, Operations, Legal, Compliance, and HR.
Required Qualifications:
At least 2 years of tax experience (ideally multi-jurisdictional) in a professional services firm or a comparable in-house tax role.
Relevant recognized qualification (ACA, CTA, or equivalent)
Team player with strong work ethic
Self-motivated and able to work independently
Excellent analytical skills and judgment
Ability to multi-task as well as meet tight deadlines
Strong interpersonal skills and exceptional organizational skills
Ability to work within a rapidly moving environment and be adaptable to change
Detail oriented; demonstrates thoroughness and strong ownership of work.
#J-18808-Ljbffr
Contact Detail:
Squarepoint Recruiting Team