New role - Tax and Treasury Manager for a Global Media Business in central London!
This is a new requirement, extremely exciting exposure (tax advisory, reporting mapping, TP analysis, cash-flow forecasting, working capital, the list goes on...) for one of the fastest growing entertainment businesses in London.
Candidates will ideally come from a tax background, a qualified accountant with good tax reporting experience, strong with Excel and a very commercial mindset. Experience with cash-flow forecasting would be beneficial, if you don't have the experience then this is something that can be learnt in the role.
For more details email firstname.lastname@example.org for a job spec.