Role Synopsis:
The Tax and Treasury Manager, reporting to the Finance Director, will be overseeing tax matters of a large group of companies and foreign subsidiaries under PASHA Real Estate Group while being responsible cash flow management on a group level.
Key Accountabilities:
- Cash and VAT management: Overseeing monthly, quarterly and annual cash and
- VAT management including consolidating and optimizing cash and VAT flows, cash budgeting and forecasting.
- Treasury function: Contributing to capital structuring, financing and capital allocation analysis and decisions, and playing a role in managing group-wide banking relations.
- Tax planning: Act as in-house tax expert for planning and transactional analysis of new real estate related projects, M&As, dispositions, restructuring.
- Tax compliance: Overseeing group monthly, quarterly and annual tax compliance with the tax legislation, including evaluation of amendments to relevant legislation to determine the potential impact.
- Transfer pricing and international tax: Participation in international tax planning and compliance for foreign subsidiaries, including transfer pricing management.
- Tax due diligence: Contributing to the tax due diligence reviews for potential acquisitions, investments, or divestitures undertaken by group.
- Policy making: Contributing to the development of treasury and tax policies with subsequent control over implementation at real estate group companies
Desired background:
- Education in Economics / Finance / Accounting / Business administration
- Minimum 5 years of relevant experience (at least 2 years of managerial experience) with a proven track record in tax, accounting and treasury functions gained in either consulting practice or industry (or combination). Big4 experience is highly preferred.
- Experience in using various ERPs (SAP, 1C, etc.)
- High level command of English language
Required skills:
- Excellent knowledge of local tax legislation is backed up by practical experience.
- Good understanding of corporate finance / capital structuring and cash & VAT and liquidity management.
- Strong task management skills.
- Good written and verbal communication skills.
- Proven professional ethics and integrity.
How to apply: Please send your resume to the email address by indicating the job title in the subject line.