Our Client is adding a Treasury Manager to their team.
Responsibilities:
- Corporate Tax (compliance and planning including 1099’s and provisions)
- Sales and Use tax for Continental North America (some international)
- Cash Management (wires, payments, & cash flow forecasting, variances budget to actual)
- Tax Reporting
Requirements
- Bachelor’s degree in Accounting, Finance
- CPA or Masters in Tax a plus
- 4-11+ years of Tax experience (processing returns, planning, estimates, corporate, sales & use, registrations, US and some foreign, etc.
- Cash Flow Reporting/Treasury Management
- ERP Systems
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Are you interested in this position?
Apply by clicking on the “Apply Now” button below!
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