Campos Holding Company is looking for a Tax & Treasury Manager at our downtown Denver office to manage both tax compliance and treasury operations. The role will be responsible for: income tax accounting cash flow management and managing bank relationships while also ensuring the company complies with all income tax business tax and payroll tax regulations. This is a hybrid role that will require a weekly in-office presence as well as occasional travel.
Tax Compliance Responsibilities
- Develop and implement tax strategies and compliance programs to minimize tax liability and maximize tax savings.
- Identify and mitigate potential tax risks.
- Ensure adherence to all federal state and local tax laws and regulations related to corporate business and payroll taxes.
- Manage the preparation and filing of tax returns including income tax payroll and other relevant filings.
- Oversee tax audits respond to tax inquiries and resolve tax disputes.
- Provide guidance on international tax matters including transfer pricing. Manage international tax partners to ensure compliance and accuracy.
- Conduct research and analysis on tax issues providing insights and recommendations.
- Communicate complex tax issues to stakeholders collaborate with other departments and work with external advisors.
- Lead and develop the tax team provide guidance coaching and mentoring.
- Monitor and analyze changes in tax laws and regulations keeping the organization informed and aligned with best practices.
- Collaborate with taxation advisors to make sure all direct indirect and payroll taxes are calculated and submitted appropriately.
Treasury Responsibilities
- Lead efforts to maximize returns on cash balances through the management accounting and reporting of investment vehicles or other investment options.
- Collaborate with the finance team on cash flow management and forecast needs.
- Manage banking relationships.
- Monitor cash balances on a daily basis and periodically initiate wires between companies.
- Identify and mitigate financial risks related to cash flow.
- Implement treasury operations and controls minimizing financial risk.
- Recommend and implement solutions to streamline treasury processes strengthen operational controls and incorporate best practices including related documentation.
- Analyze bank fee structures services relationships credit levels and counterparty credit quality/exposure.
- Collaborate with internal stakeholders to design and implement new management reports to guide decision making and highlight trends and variances.
Requirements
- 5 years of experience in Tax Compliance and Treasury
- Bachelors degree in Taxation Accounting Finance or a related field
- Advanced Microsoft Excel skills
- CA CPA and similar certifications are considered a plus.
- Superior mathematical and analytical skills and an eye for detail
- Experience with preparing and submitting tax statements tax returns and the corresponding financial statements
- Experience managing treasury functions including FX liquidity cash flow and financial instruments
- Excellent organization and time management skills
- Strong behavioral skills including meeting deadlines problem-solving leadership personnel management and excellent interpersonal and communication abilities for building relationships with various stakeholders.
- Experience implementing and documenting process improvements.
PAY: 120-150K/YR DEPENDING ON EXPERIENCE
Required Experience:
Manager