This role will provide support from the treasury operations area in all our clients business lines and support Corporate Income Tax Department in its preparation of Federal, State and local income tax returns, Federal and State examinations, and its income tax accounting for quarterly and year financial statement reporting. In addition, the position works closely with Treasury to ensure payments are timely made and cleared.
Key Responsibilities
Determining financing needs and raising funds in the most efficient way.
Management of debt capital markets transactions
Coordination of financing operations for projects.
Managing treasury, liquidity and cash flow forecasting.
Ensure estimated and annual income tax payments are timely made and confirmed.
Manage payment notices and correspondence with taxing jurisdictions.
Preparation of city, state, and some Federal tax returns
Maintenance of payment and due date schedules for all the Income Tax Department’s critical deliverables
Assist with periodic tax provision calculations and with quarterly and year-end tax provision reporting
Reconcile income tax payable/receivable for legal entities.
Qualifications
Accounting or Business Degree with 12 - 15 years relevant working experience.
Must be a strong self-directed professional with the ability to work effectively in a fast-paced demanding environment, handle multiple tasks, problem solve and effectively follow-through.
Strong verbal and written communication skills
Previous experience in project finance, capital markets transactions and financial modelling.
Understanding of related areas (accounting, legal and tax).