The Tax & Treasury Manager oversees U.S. tax and treasury operations across multiple manufacturing entities.
They ensure accurate tax compliance, reporting, and payments, managing federal, state, and local taxes, including filings and audits.
They handle treasury functions such as cash management, banking relationships, and liquidity planning, along with intercompany netting and vendor tax data governance.
The role involves maintaining regulatory compliance, managing external audits, and enforcing internal controls.
Candidates should have a CPA, 8+ years of experience in tax and treasury, strong U.S. tax knowledge, and excellent communication skills.
The position offers a competitive salary, benefits, and growth opportunities, with a focus on operational discipline, cross-functional collaboration, and executive reporting.