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interim head of fp a and treasury
Wade Macdonald
Head of Tax and Treasury
Wade Macdonald Slough, Berkshire
Head of Treasury & Tax (Interim) 6-Month Contract Hybrid (Slough or London) The Opportunity We are partnering with a fast-growing, infrastructure-focused business to appoint an Interim Head of Treasury & Tax for an initial 6-month contract . This is a high-impact role focused on strengthening tax compliance, enhancing treasury operations, and building a robust control framework to support continued growth across a multi-entity, international environment. You will work closely with the senior finance leadership team to deliver a cohesive, audit-ready finance function. The Role Tax Strategy & Compliance Lead all corporate tax, VAT, PAYE/NIC and international tax compliance Oversee tax planning, structuring and risk management Manage relationships with external advisors and tax authorities Monitor legislative changes and assess business impact Ensure all tax positions are fully documented and audit-ready Treasury & Cash Management Lead cash flow forecasting, liquidity management and working capital optimisation Implement and enhance 13-week cash forecasting Manage banking relationships, facilities and financing arrangements Oversee intercompany funding and in-house banking Monitor and mitigate FX, interest rate and credit risks Strengthen treasury controls (payments, mandates, approvals) Compliance & Risk Own the tax and treasury governance framework across all entities Ensure audit readiness, including documentation and controls Act as key contact for internal and external audit Ensure compliance with banking covenants and regulatory requirements Leadership & Business Partnering Build and support a high-performing tax and treasury capability Partner with FP&A and Financial Control to deliver integrated insight Act as a trusted advisor to senior leadership Projects & Strategic Support Support M&A activity (due diligence, structuring, integration) Lead treasury input into systems and process improvements Contribute to financing strategy and capital structure initiatives About You ACA / ACCA / CTA qualified Strong post-qualified experience across tax and treasury leadership roles Deep knowledge of UK and international tax regimes Proven experience in cash forecasting, liquidity management, and treasury operations Track record of managing tax audits, enquiries, and advisors Strong understanding of controls, governance, and audit requirements Experience in multi-entity, international environments Comfortable operating in a fast-paced, scaling business
Apr 21, 2026
Contractor
Head of Treasury & Tax (Interim) 6-Month Contract Hybrid (Slough or London) The Opportunity We are partnering with a fast-growing, infrastructure-focused business to appoint an Interim Head of Treasury & Tax for an initial 6-month contract . This is a high-impact role focused on strengthening tax compliance, enhancing treasury operations, and building a robust control framework to support continued growth across a multi-entity, international environment. You will work closely with the senior finance leadership team to deliver a cohesive, audit-ready finance function. The Role Tax Strategy & Compliance Lead all corporate tax, VAT, PAYE/NIC and international tax compliance Oversee tax planning, structuring and risk management Manage relationships with external advisors and tax authorities Monitor legislative changes and assess business impact Ensure all tax positions are fully documented and audit-ready Treasury & Cash Management Lead cash flow forecasting, liquidity management and working capital optimisation Implement and enhance 13-week cash forecasting Manage banking relationships, facilities and financing arrangements Oversee intercompany funding and in-house banking Monitor and mitigate FX, interest rate and credit risks Strengthen treasury controls (payments, mandates, approvals) Compliance & Risk Own the tax and treasury governance framework across all entities Ensure audit readiness, including documentation and controls Act as key contact for internal and external audit Ensure compliance with banking covenants and regulatory requirements Leadership & Business Partnering Build and support a high-performing tax and treasury capability Partner with FP&A and Financial Control to deliver integrated insight Act as a trusted advisor to senior leadership Projects & Strategic Support Support M&A activity (due diligence, structuring, integration) Lead treasury input into systems and process improvements Contribute to financing strategy and capital structure initiatives About You ACA / ACCA / CTA qualified Strong post-qualified experience across tax and treasury leadership roles Deep knowledge of UK and international tax regimes Proven experience in cash forecasting, liquidity management, and treasury operations Track record of managing tax audits, enquiries, and advisors Strong understanding of controls, governance, and audit requirements Experience in multi-entity, international environments Comfortable operating in a fast-paced, scaling business

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