Head of Tax & Treasury
, IN, United States
A BIT ABOUT US
We’re at the forefront of one of the most exciting evolutions of our generation - remote staffing. No longer do employers have to hire according to geography, and no longer do employees have to worry about proximity to work and daily commutes. Today, companies can hire the best talent they can find, anywhere in the world. But they need digital solutions to help them streamline the process...
We are Multiplier! Our global employment platform empowers companies to hire people all across the world by managing the complexities of local compliance, labour contracts, payroll, benefits and taxes - all from one software system. It’s a game changer!
We’re on a mission to impact economies of scale by enabling companies to hire the best candidate for the job, regardless of location. We’re backed by some of the best in the game (Sequoia, Tiger Global, DST and Golden Gate Ventures), led by domain level experts and seeking brilliant like minded enthusiasts to join our team.
Job Title : Head of Tax & Treasury
Oversee global tax compliance across all markets.
Implement and maintain adequate and effective tax controls.
Work on new tax planning initiatives and prepare projections of tax payments & tax positions in collaboration with the Finance and local accounting team.
Ensure significant tax positions are properly researched and documented, including tax considerations of new products and services.
Oversee the local teams to ensure tax audits and tax authority relationships are properly managed.
Manage transfer pricing studies for all inter-entity transactions.Manage global treasury policies and ensure proper controls around cash management across all markets.
Coordinate with Finance to maintain a close view of our cash forecast and cash positions, optimizing our cash balances while maintaining optimal liquidity levels per entity.
Optimize our FX Cash positions across all markets.
Responsible for monthly treasury reporting, including cash flow analyses.
Assist in evaluating and executing foreign exchange hedging protocols and ensure proper accounting of our derivative programs.
Develop and implement appropriate governance structures around corporate expense policies and vendor management.
What you'll need
Minimum of a BA or master’s degree in Accounting, Finance, or Economics.
Active CPA licence.
Ideally, with a combined relevant work experience of 8-10 years
Possess exceptional written and verbal communication skills, including the ability to articulate recommendations concisely and timely.
Intrinsically curious and motivated by attention to detail and quality of work
Ability to make sound decisions autonomously and drive resolution of problems.
Flexibility with schedule and willingness to adapt and connect with team members in different geographies and time zones
What we’ll provide for you :
Ability to contribute to this business at a high level
Autonomy within your role
Ability to work remotely
Working with a compassionate, energetic, inspired, ambitious, and diverse team
Opportunity to grow within a fast-growth business
Competitive benefits, compensation, and culture of recognition
Unlimited holiday policy
A commitment to positively impact your career
Perks ⛴
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