At a Glance
- Tasks: Manage cash reporting, support global cash pooling, and execute daily funding workflows.
- Company: Join a leading environmental consultancy with a focus on sustainability.
- Benefits: Competitive salary, flexible working hours, and opportunities for professional growth.
- Why this job: Be part of a dynamic team driving financial excellence in a global organisation.
- Qualifications: Experience in finance or treasury management is a plus, along with strong analytical skills.
- Other info: Collaborative environment with a commitment to personal and professional development.
The predicted salary is between 36000 - 60000 £ per year.
The Tax & Treasury Specialist provides technical expertise across ERM's global tax and treasury activities, ensuring compliance with statutory requirements, accurate reporting, and effective cash and risk management. The role reports into the Treasury Manager and forms part of the wider Treasury team, working closely with regional finance teams, Group Finance, and external advisors to ensure robust governance, mitigate risk, and support ERM's continued growth.
Responsibilities
- Cash Management
- Cash reporting (daily & weekly): Own end-to-end Group cash reporting, ensuring accuracy, timeliness, and distribution to senior management.
- Cash Pooling project: Support Treasury Management in the implementation and rollout of the global cash pooling structure.
- Daily cash management: Execute daily funding and liquidity workflows, including MMF subscriptions/redemptions and other short-term investments.
- Global cash visibility: Review worldwide cash balances, support repatriation of funds to the centre, and assist with FX execution and related reporting.
Tax & Treasury Specialist in London employer: The ERM International Group Limited
Contact Detail:
The ERM International Group Limited Recruiting Team
StudySmarter Expert Advice 🤫
We think this is how you could land Tax & Treasury Specialist in London
✨Tip Number 1
Network like a pro! Reach out to professionals in the tax and treasury field on LinkedIn. Join relevant groups and participate in discussions to get your name out there. We all know that sometimes it’s not just what you know, but who you know!
✨Tip Number 2
Prepare for those interviews! Research common questions for Tax & Treasury roles and practice your answers. We recommend using the STAR method (Situation, Task, Action, Result) to structure your responses. This will help you showcase your skills effectively.
✨Tip Number 3
Showcase your expertise! Create a portfolio or a presentation that highlights your experience with cash management, reporting, and risk mitigation. We want to see how you can add value to the team, so don’t hold back!
✨Tip Number 4
Apply through our website! It’s the best way to ensure your application gets noticed. Plus, we love seeing candidates who take the initiative to connect directly with us. Don’t miss out on the chance to stand out!
We think you need these skills to ace Tax & Treasury Specialist in London
Some tips for your application 🫡
Tailor Your CV: Make sure your CV is tailored to the Tax & Treasury Specialist role. Highlight relevant experience in cash management and reporting, and don’t forget to mention any specific projects you've worked on that align with our needs.
Craft a Compelling Cover Letter: Your cover letter is your chance to shine! Use it to explain why you're passionate about tax and treasury activities. Share how your skills can help us ensure compliance and effective cash management at ERM.
Showcase Your Technical Skills: We’re looking for someone with strong technical expertise. Be sure to include any relevant software or tools you’ve used in your previous roles, especially those related to cash reporting and banking operations.
Apply Through Our Website: Don’t forget to apply through our website! It’s the best way for us to receive your application and ensures you’re considered for the role. Plus, it shows you’re keen on joining our team!
How to prepare for a job interview at The ERM International Group Limited
✨Know Your Numbers
As a Tax & Treasury Specialist, you'll be dealing with cash management and reporting. Brush up on your financial metrics and be ready to discuss how you've handled cash flow in previous roles. Being able to cite specific examples will show your expertise.
✨Understand Compliance Requirements
Familiarise yourself with the statutory requirements relevant to tax and treasury activities. Be prepared to discuss how you ensure compliance in your work. This shows that you not only understand the technical side but also the importance of governance.
✨Showcase Your Teamwork Skills
This role involves working closely with various teams, so highlight your experience in collaborating with finance teams and external advisors. Share examples of how you've successfully worked in a team to achieve common goals, especially in cash management projects.
✨Prepare for Scenario Questions
Expect questions that ask how you would handle specific situations, like managing liquidity during a cash crunch or implementing a new cash pooling structure. Think through potential scenarios and prepare your responses to demonstrate your problem-solving skills.