Job Openings » Director Of Tax

Director Of Tax

Bellevue, WA
by Search Group Solutions

Accounting / Finance

Job Description

Job Description
Job Title: Director of Tax & Treasury Operations
 

Presented by Seattle Search Group:

Overview:
Seattle Search Group invites qualified candidates to apply for the role of Director of Tax & Treasury Operations. This key position, reporting to the Vice President of Financial Strategy, is pivotal in managing comprehensive tax strategies, compliance, treasury operations, and cash flow management. The ideal candidate will demonstrate expertise in technical accounting, analytical and problem-solving skills, and possess strong communication and organizational capabilities. This high-profile role is crucial for the strategic growth and success of our client's operations.

Key Responsibilities:

Tax Management:

Technical review and analysis of corporate and partnership tax returns at federal and multi-state levels, ensuring accuracy and compliance.
Collaborating with accounting and finance teams for effective tax planning and compliance.
Detailed review of income tax provisions in line with ASC 740 standards.
Oversight of financial statement audits and related disclosures.
Research and analysis of federal and state tax legislations, assessing impacts on compliance and reporting.
Managing indirect tax compliance, including sales and use tax matters.
Coordinating with tax advisory firms to streamline tax filing and reporting processes.
Evaluating tax implications of business structure changes and transactions.
Regular analysis and communication regarding partnership tax distribution calculations.
Handling and navigating external tax audits, encompassing various tax types.
Serving as a proactive strategic tax advisor, identifying tax-saving opportunities and providing in-depth analyses.
Treasury Management:

Overseeing all aspects of cash management, including transactions and funding.
Maintaining bank account administration and managing corporate debt.
Developing cash forecasts and managing financial institution relationships.
Crafting reports for the executive team and Board of Directors regarding liquidity and cash management metrics.
Implementing banking technologies and services to optimize cash cycles and operational efficiency.
Qualifications:
 
 

Job Requirement


Job Requirement
Bachelor’s Degree or higher in Accounting, Finance, or a related field.
CPA license preferred; experience in public accounting is advantageous.
Minimum of 10 years of experience in tax accounting.
At least 3 years of experience in treasury management.
Advanced proficiency in MS Office Suite, particularly MS Excel.