Tax Treasury Manager in London

Tax Treasury Manager in London

London Full-Time 60000 - 80000 £ / year (est.) No working from home possible
We Do Group

At a Glance

  • Tasks: Lead Treasury and Tax strategy for a fast-growing international business.
  • Company: Dynamic pharmaceutical services company with global ambitions.
  • Benefits: Strategic leadership role with direct exposure to executive teams.
  • Other info: Collaborative environment with visible impact on international expansion.
  • Why this job: Shape finance functions during exciting growth and integration phases.
  • Qualifications: Experienced finance professional with strong Treasury and Tax expertise.

The predicted salary is between 60000 - 80000 £ per year.

An exceptional opportunity has arisen for an experienced Treasury & Tax Manager to join a fast‑growing, private equity‑backed pharmaceutical services business during a pivotal period of international expansion. Following two strategic acquisitions, the organisation is building a truly global finance function and is seeking a commercially minded Treasury & Tax leader to develop and deliver the Group's Treasury and Tax strategy.

Working directly with the Chief Financial Officer and Group Financial Controller, you'll play a key role in supporting international growth, acquisition integration, capital management and strategic decision‑making. This is a rare opportunity to step into a highly visible position with genuine influence across the business.

The Opportunity

You’ll take ownership of Treasury and Tax across a growing international group, ensuring the business has the liquidity, governance and tax framework required to support continued expansion. This is a broad and varied role that combines technical expertise with commercial leadership, giving you exposure to executive stakeholders, lenders, investors and external advisers.

Key Responsibilities

  • Treasury
    • Develop and deliver the Group's Treasury strategy
    • Manage liquidity, cash flow forecasting and working capital
    • Oversee banking relationships and debt facilities
    • Support refinancing and capital structure decisions
    • Manage foreign exchange and interest rate risk
    • Develop and maintain Treasury policies and governance
  • Tax
    • Own the Group's international Tax strategy
    • Manage corporate tax, VAT and international tax compliance
    • Lead transfer pricing across multiple jurisdictions
    • Monitor developments including BEPS and Pillar Two
    • Support tax planning and optimise the Group's effective tax position
  • Strategic Projects
    • Lead the Treasury and Tax integration of recently acquired businesses
    • Support M&A activity, due diligence and acquisition structuring
    • Partner with senior leadership on funding and investment decisions
    • Drive continuous improvement across Treasury and Tax processes
    • Build strong relationships with banks, advisers and tax authorities

About You

We're looking for an experienced finance professional who enjoys operating in a commercially focused, fast‑paced international environment. You’ll ideally possess:

  • ACA, ACCA, CIMA, CTA, ACT or equivalent professional qualification
  • Significant Treasury and Tax leadership experience
  • Strong international tax and transfer pricing knowledge
  • Experience managing cash, liquidity, debt facilities and FX exposure
  • Exposure to multinational and multi‑currency businesses
  • Excellent stakeholder management and communication skills
  • Experience supporting acquisitions or post‑deal integration would be highly advantageous
  • Private Equity or high‑growth business experience is desirable

Why Apply?

  • A genuinely strategic leadership position.
  • Direct exposure to the CFO, Executive Leadership Team and shareholders.
  • Play a key role in integrating recently acquired international businesses.
  • Broad exposure across Treasury, Tax, M&A and corporate finance.
  • Opportunity to shape the finance function during an exciting period of growth.
  • Work within an ambitious, entrepreneurial and collaborative organisation where your contribution will have a visible impact.

If you’re looking for a role that combines strategic influence, technical challenge and genuine career progression within an international business, we’d love to hear from you. To find out more or apply confidentially, please get in touch today.

We Do Group

Contact Details:

We Do Group Recruitment Team

We think you need these skills to ace Tax Treasury Manager in London

Treasury Strategy Development
Cash Flow Forecasting
Liquidity Management
Debt Facilities Management
Foreign Exchange Risk Management
International Tax Compliance
Transfer Pricing Knowledge