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Group tax & treasury manager

Gand
United Petfood
Publiée le Publiée il y a 3 h
Description de l'offre

PAt United Petfood, tax and treasury play a crucial role in supporting our international growth and ensuring financial stability across the group. We are looking for a strongGroup Tax Treasury Manager /strong: a hands‑on, analytical and business‑minded expert who thrives in a complex, international environment. /ppIn this role, you will coordinate all tax matters across our global structure (30 legal entities in 13 countries) and take ownership of key treasury activities such as cash pooling, liquidity management, FX and intra‑group financing. You report directly to the Group CFO and act as a trusted partner for both local finance teams and external authorities. This is a role with real impact: you will shape our tax framework, strengthen compliance, and build a solid treasury foundation for the future. /ppstrongYour role /strong /ppstrong1. Group Tax Management /strong /pulliYou provide expert guidance on corporate tax, indirect tax, tax compliance and transfer pricing at group level. /liliYou manage and optimize the Group Transfer Pricing framework by: /liliStructuring and improving TP documentation and processes /liliManaging Master File and Local Files /liliYou act as the main point of contact for external tax advisors and tax authorities in Belgium, and you support communication with authorities in other countries. /liliYou serve as the central contact for all VAT‑related questions from sales and finance teams, including ad‑hoc compliance checks across countries. /liliYou oversee all fiscal controls, audits and disputes within the group. /liliYou lead and coordinate tax‑related projects, including: /liliMonitoring upcoming tax changes, identifying risks and opportunities /liliTracking subsidy, tax and incentive programs and implementing them where relevant /li /ulpstrong2. Group Treasury /strong /pulliYou ensure strong liquidity management and a robust treasury structure across the group. /liliYou manage daily cash and liquidity, including cash pooling, factoring and investment of excess liquidity. /liliYou follow up the group‑wide factoring program and support onboarding of new entities. /liliYou further implement and optimize the cross‑currency cash pool for the group. /liliYou monitor all intra‑group treasury transactions and ensure they follow the transfer pricing policy. Both in financial reporting (with Controlling) and legal documentation (with Legal). /liliYou develop and implement the FX risk strategy, including processes to manage foreign exchange positions and counterparty credit risk. /li /ulpstrong3. General responsibilities /strong /pulliYou build strong relationships with internal stakeholders across countries and act as a trusted advisor on tax and treasury matters. /liliYou ensure consistent processes, clear documentation and smooth collaboration between Group and local teams. /liliYou identify opportunities to improve compliance, efficiency and structure, and you implement best practices across countries to support scalable growth. /li /ulpstrongWho you are /strong /pulliYou hold a strongMaster’s degree in Finance /strong. /liliYou have solid experience in strongCorporate Tax /strong, ideally gained in a Big 4 environment or a corporate tax department. /liliYou combine strong technical expertise with excellent communication skills, enabling you to navigate a complex international environment. /liliYou are analytical, structured, detail‑oriented and efficient. /liliYou learn quickly, think in solutions and adapt easily to new situations. /liliYou understand the bigger picture and know how to build strong processes in tax and treasury. /liliYou are passionate, proactive and result‑driven — someone who gets things done. /liliYou work with integrity and respect. /liliYou speak Dutch and communicate fluently in English; French is a plus. /li /ulpstrongWhat we offer /strong /pulliA competitive compensation package aligned with your experience and needs. /liliA unique position with broad international exposure and a challenging role within a fast-growing and dynamic organization. /liliThe opportunity to build, optimize and professionalize tax and treasury processes across multiple countries. /liliA role with real impact, reporting directly to the Group CFO. /liliA company culture where entrepreneurship, a hands-on mentality, and flexibility are at the core. We encourage initiative and personal development, giving you the space to grow both professionally and personally. /liliAn open structure where tasks are not always strictly defined, allowing you to take a flexible approach. /li /ul #J-18808-Ljbffr

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