Tax & Treasury Specialist

Tax & Treasury Specialist

Full-Time 36000 - 60000 £ / year (est.) No home office possible
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At a Glance

  • Tasks: Manage cash reporting, banking operations, and intercompany treasury transactions.
  • Company: Join a leading global environmental consultancy with a focus on sustainability.
  • Benefits: Competitive salary, inclusive culture, and opportunities for professional growth.
  • Why this job: Be part of a dynamic team making a real impact in treasury management.
  • Qualifications: 2+ years in treasury, finance degree, and strong Excel skills.
  • Other info: Supportive environment with a commitment to diversity and inclusion.

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.
  • Banking Operations
    • Bank account rationalisation: Lead the ongoing global bank account rationalisation project, including maintenance of the Bank Account Masterfile.
    • Quarterly bank account confirmations: Manage and operate the quarterly key-control process for bank account confirmations across all business units.
    • Account opening & closing: Own and administer the bank account lifecycle in IT2 (TMS), ensuring accurate and controlled creation, amendment, and closure.
    • Guarantees: Review and process bank guarantee requests submitted by local business units, coordinating through bank portals and the TMS.
  • Intercompany Treasury
    • Intercompany postings: Responsible for posting all intercompany treasury transactions in the TMS, including trading flows, funding, cash/cashless settlements, and exceptional/advance postings outside BAU.
    • Quarterly interest calculation: Calculate and post quarterly intercompany interest charges.
    • Stakeholder reporting: Support intercompany reporting requirements for Group Finance, Tax, business units, and other internal stakeholders.
  • Controls, Systems & Governance
    • Controls & compliance: Ensure key treasury controls are designed, followed, and evidenced, including ownership of quarterly control activities.
    • Treasury systems (IT2): Support TMS maintenance, static data integrity, and general administration of banking platforms.
    • Team support & cross-training: Provide support and backup to the wider Treasury Analyst community, including cross-training on owned processes.
  • Other Responsibilities
    • Share scheme support: Assist the Treasury Manager with administration and reporting of the Group share scheme.
    • Projects & development: Contribute to wider Treasury projects, including IT2 enhancements, process improvements, and other ad-hoc initiatives.

Requirements

  • Minimum 2 years of Treasury experience within a multinational corporate environment.
  • Bachelor's degree in Finance, Accounting, Economics, or a related discipline.
  • Strong proficiency in Microsoft Office, with advanced Excel skills essential.

Personal Attributes

  • Highly personable, proactive, ambitious, and quick to learn.
  • Strong interpersonal skills with the ability to build effective relationships across the business.
  • A collaborative team player who contributes positively to the wider team.
  • Exceptional attention to detail and a high degree of accuracy in all work.

Communication & Stakeholder Engagement

  • Strong written and verbal communication skills.
  • Able to support—and when required, lead—communications with internal and external stakeholders.

Work Approach & Problem Solving

  • Strong time-management skills, able to deliver tasks and objectives to agreed timelines.
  • Demonstrated problem-solving capability, with a structured and pragmatic approach.

ERM is committed to creating an inclusive workplace where everyone feels valued, respected, and empowered to thrive. It’s an essential part of what makes ERM a great place to build a career and helps us create better solutions for our clients. We welcome talent from all backgrounds and provide equal opportunities for every candidate. If you have a disability, are neurodivergent, or need accommodations during the selection process, we’re here to support you. Our commitment doesn’t stop at hiring. Once you join us, we’ll ensure you have the tools, support, and adjustments needed to succeed and feel a true sense of belonging.

Tax & Treasury Specialist employer: The ERM International Group Limited

ERM is an exceptional employer that fosters a collaborative and inclusive work culture, making it an ideal place for a Tax & Treasury Specialist to thrive. With a strong commitment to employee growth, ERM offers opportunities for professional development and cross-training within the Treasury team, ensuring that every team member feels valued and empowered. Located in a dynamic environment, ERM supports its employees with comprehensive benefits and a focus on work-life balance, making it a rewarding place to build a meaningful career.
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Contact Detail:

The ERM International Group Limited Recruiting Team

StudySmarter Expert Advice 🤫

We think this is how you could land Tax & Treasury Specialist

✨Tip Number 1

Network like a pro! Reach out to your connections in the finance and treasury sectors. A casual chat can lead to opportunities you might not find on job boards.

✨Tip Number 2

Prepare for interviews by researching ERM's values and recent projects. Show us how your skills align with our mission and how you can contribute to our growth.

✨Tip Number 3

Practice your communication skills! Whether it's explaining complex financial concepts or discussing cash management strategies, being clear and confident is key.

✨Tip Number 4

Don’t forget to apply through our website! It’s the best way to ensure your application gets noticed and shows us you’re serious about joining the team.

We think you need these skills to ace Tax & Treasury Specialist

Treasury Management
Cash Management
Banking Operations
Intercompany Treasury
Controls & Compliance
Microsoft Office
Advanced Excel Skills
Communication Skills
Stakeholder Engagement
Problem-Solving Skills
Attention to Detail
Time Management
Team Collaboration
Project Management

Some tips for your application 🫡

Tailor Your CV: Make sure your CV is tailored to the Tax & Treasury Specialist role. Highlight relevant experience and skills that match the job description, especially your treasury experience and proficiency in Microsoft Office.

Craft a Compelling Cover Letter: Your cover letter is your chance to shine! Use it to explain why you're passionate about this role and how your background makes you a perfect fit. Don’t forget to mention your collaborative spirit and attention to detail!

Showcase Your Communication Skills: Since strong communication is key for this role, make sure your written application reflects that. Keep your language clear and professional, and don’t shy away from showing your personality!

Apply Through Our Website: We encourage you to apply through our website for a smoother process. It’s the best way for us to receive your application and ensures you’re considered for the role. Plus, you’ll get to explore more about our company culture!

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 managed cash flows or improved reporting accuracy in previous roles. This shows you understand the core responsibilities of the position.

✨Showcase Your Team Spirit

This role requires collaboration with various teams. Prepare examples of how you've worked effectively with others in past positions. Highlight any cross-training experiences or projects where teamwork led to successful outcomes, as this will resonate well with the interviewers.

✨Master the Tech

Familiarise yourself with treasury management systems like IT2 and advanced Excel functions. Be prepared to discuss how you've used technology to streamline processes or improve data integrity. This will demonstrate your technical proficiency and readiness for the role.

✨Communicate Clearly

Strong communication skills are essential for this position. Practice articulating your thoughts clearly and concisely. You might even want to prepare a few questions about the company's treasury operations to show your interest and engagement during the interview.

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