Group Treasury and Tax Accountant
New Yesterday
Group Treasury and Tax Accountant – Uxbridge (Hybrid, with travel to Belgium)
An excellent opportunity has arisen to join a growing international business in a newly created role as Group Treasury and Tax Accountant.
Working closely with the CFO, you will be part of a small, collaborative finance team, based in Uxbridge on a hybrid basis (2–3 days per week), with travel to the head office in Belgium a couple of times each month. This position has been created due to the company’s continued growth and offers strong prospects for career progression.
The Role You will take ownership of treasury operations and help shape the group’s international tax strategy. Key responsibilities include managing cash flow and liquidity, optimising capital deployment, and ensuring compliance across multiple jurisdictions. You will also play a pivotal role in credit risk and working capital management, liaising with finance teams across the business.
Key duties include:
Managing daily bank balances and cash pooling
Organising weekly cash runs and preparing cash forecasts
Leading AR meetings and monitoring vendor payments
Maintaining strong bank relationships, securing favourable interest rates and credit lines
Overseeing VAT, intercompany accounts, loans, and management fees
Supporting intercompany loan matching strategies and dormant company closures
Reviewing dividend payments and ensuring tax compliance for subsidiariesAbout...
- Location:
- Uxbridge
- Salary:
- £60,000 - £70,000 /annum
- Category:
- Accounting & Finance