Head Of Treasury & Tax

Details of the offer

About the Role We have an exciting opportunity for a Head of Treasury & Tax to join our finance team. This is a pivotal leadership role that requires strategic vision, strong leadership skills, and a deep understanding of financial markets.
You will be responsible for the delivery of our financial tax and treasury strategy, including managing all of the Group banking syndicate and broker relationships as well as a number of our key shareholders. You will ensure a financial continual improvement focus and a drive toward operational and commercial excellence across Treasury & Tax.
Your strategic vision and hands-on approach in a corporate environment will be essential in navigating the complexities of treasury and tax management.
Key Responsibilities: Managing the Group Banking Syndicate relationships, including communication of strategy and financial plans, and bank compliance reporting. Group Funding Facilities Management, including strategy, facility establishment, renewal, and price negotiation. Multi-currency cash management, short-term cash forecasting, and working capital financing. Group foreign exchange management (front office) including strategy and deal execution. Interest rate risk management. Regularly reporting of treasury risks to the Board. Developing and recommending treasury strategies and tactics. Commodity hedging policy establishment, recommendations, and management. Management of financial forecasting of foreign exchange, interest rates, and assist with balance sheet forecasting. Develop and maintain effective global relationships with key external stakeholders, industry contacts, and agencies. Preparing/reviewing income tax provisions for the purpose of reporting in financial statements. Acting as a subject matter expert for both indirect and direct taxes, including transfer pricing. Skills and Experience: The ideal candidate will bring a wealth of experience in treasury and finance management. You will be a proactive leader with a strong financial acumen and a track record of driving results as well as thriving in a collaborative environment.
This role will require:
CA/CFA qualification (or equivalent) and a proven track record in a similar role. Experience in developing and implementing strategies and systems across Treasury functions - FX, interest rates, commodity hedging, working capital management, and cash management utilizing a wide range of derivatives and other products. Experience in Treasury tactical risk management. Experience in short-term liquidity management across multiple currencies, facilities, and bank accounts. Experience of tax management as well as tax risk mitigation, preferred cross-country tax experience. About Us – The Synlait Way Synlait is a dynamic, purpose-led milk nutrition company that is Doing Milk Differently for a Healthier World! We pride ourselves on being different and allowing our spirit to drive our success, shifting perceptions and driving value through new thinking and a new attitude.
You'll be joining down-to-earth, authentic people working together to create the very best in milk nutrition as we combine expert farming with innovative thinking and state-of-the-art processing to produce a range of nutritional milk products for our global customers.
We will challenge you by providing the opportunities you've been seeking to expand your career; we believe that everyone brings unique experiences and perspectives to the table, so are committed to creating an inclusive workplace and embrace diversity to drive innovation and business success.
What we offer: Health insurance cover + Partnered with top brands for great benefits and discounts. Excellent parental leave with our Matua policy + Flexible working options available. World Class manufacturing facilities and B CORP certified. Social Club membership opportunities. What's next? Include your most recent CV and cover letter summarising your abilities and what you can bring to Synlait. We wish you the best of luck in your application. We encourage you to apply early as we will be reviewing applications regularly and may close the advertisement early.
Together we will continue to create a workplace where everyone can thrive and contribute their best.
#LI-KT1
#J-18808-Ljbffr


Nominal Salary: To be agreed

Source: Grabsjobs_Co

Job Function:

Requirements

Annual Trading Calendar Lead

Mo te whai waahi | About the opportunity Reporting to the Chief Sales Officer, you will drive the development, execution and ongoing delivery of the Annual T...


Farmlands - Canterbury

Published a month ago

Finance Business Partner

See more about the role below, including the responsibilities and skills we are looking for. Finance Business Partner See more about the role below, includin...


Selwyn District Council - Canterbury

Published a month ago

Assistant Accountant

The Opportunity Reporting to the Finance Manager and working closely with the wider business, this is a key role within a close-knit team where you will demo...


Profile Group - Canterbury

Published a month ago

Finance Manager

We are on the lookout for a Finance Manager to join our growing, successful team. Patersons is a well-trusted brand across the South Island, delivering quali...


Patersons - Canterbury

Published a month ago

Built at: 2024-11-21T22:33:48.625Z