Tax, Compliance & Treasury Manager
Tax strategy and planning
You will develop and implement tax strategies aligned with business goals, and spot planning opportunities across corporate income tax, VAT/GST, withholding tax, and transfer pricing while staying fully compliant.
Tax filing and audits
You will ensure accurate, on-time preparation and filing of direct and indirect tax returns, and lead tax audits, assessments, and correspondence with tax authorities.
Regulatory compliance
You will own statutory and regulatory compliance end to end, from timely filings to compliance policies, procedures, and internal controls.
Audit coordination
You will coordinate internal and external audits and drive timely resolution of findings.
Treasury operations
You will manage daily treasury, including cash positioning and liquidity planning that keeps working capital healthy.
Cash flow and forecasting
You will build cash flow forecasts and optimize working capital so the business is funded with confidence.
Banking and financing
You will oversee banking facilities, loans, guarantees, and financing arrangements, and manage foreign exchange and interest rate risk where it applies.
Financial reporting
You will support month-end and year-end close, ensure correct accounting treatment for tax and treasury transactions, and deliver clear management reporting.
Controls and risk
You will strengthen internal controls that safeguard assets and support enterprise risk management, keeping the organization audit-ready.
Stakeholder relationships
You will build trusted relationships with finance, legal, senior leaders, auditors, banks, regulators, and external advisors.
Continuous improvement
You will drive initiatives that make tax, compliance, and treasury run more efficiently over time.
Qualifications
- Bachelor's degree in Accounting, Finance, Economics, or a related field.
- Professional qualification such as CPA, CA, ACCA, CMA, or equivalent.
- An MBA or Finance master's is a plus.
- 7 to 10 years of progressive experience across tax, treasury, finance, or compliance, including at least 3 years in a managerial or supervisory role.
- Strong knowledge of tax regulations, treasury management, and financial reporting standards.
- Experience with multinational organizations is preferred.
- Advanced Excel and strong Microsoft Office skills.
- A proactive, detail-oriented problem solver who thrives under deadlines, adapts as priorities shift, and communicates clearly with teams across the company.