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Specialist Tax Compliance & Tax Accounting

DELHAIZE in ZELLIK
time Online sinds 6 mei 2024 - Vaste jobs
You will be responsible for : Tax Compliance: Prepare and coordinate all aspects of Direct Tax Compliance for the BELUX region, including corporate tax, withholding tax, and TP activities for BELUX banners.Manage and coordinate corporate income tax audits, responses to information requests, tax corrections, litigations, or any other interactions with BELUX tax authorities. Coordinate contacts with BE tax authorities for access to horizontal monitoring in Belgium, representing BELUX tax interests and ensuring collaboration with operational departments.Investigate and propose the utilization of tax technologies and robotics to enhance and streamline direct tax compliance processes.Implement and oversee their implementation as approved by tax management/Board. Tax Accounting: Prepare and coordinate the monthly and quarterly computation of income tax according to IFRS and BEGAAP standards.Ensure accurate and timely reconciliation of deferred tax positions and related reporting duties within the framework of quarterly closings. Coordinate the forecasting of cash tax due based on budgets, providing valuable insights for financial planning.Lead, coordinate, and control the forecast of tax P&L impacts (IFRS & local GAAP) based on budgets. Risk management: Analyze, review, and propose improvements to Internal Control procedures and controls related to the Direct Tax Control Framework.Assess and recommend enhancements to key controls and internal controls, performing necessary controls and reporting to the Director of Tax Compliance & Tax Accounting Group and relevant business departments. Additionally, you will also take an advisory role and be responsible for the required documentation and reporting.

Business Controller

ROBERT HALF in GENT
time Online sinds 6 mei 2024 - Vaste jobs

Voor een wereldwijd actief consultancy bedrijf gelegen in Gent, zijn wij op zoek naar een All-round Controller.

Onze klant is een wereldwijd actief consultancy bedrijf gelegen in Gent.

Takenpakket
Als Controller zal je rechtstreeks rapporteren aan de finance director.Jouw rol is opgebouwd rond drie pijlers:
Financiële en wettelijke rapportering:

  • Je zorgt voor de opmaak en analyse van de maandelijkse management rapportering;
  • Je staat mee in voor een diepgaande kennis van de (full) P&L, Balance Sheet en Cash flow van een aantal groepsentiteiten / business units;
  • Je gaat over tot het verzamelen, opvolgen en analyseren van de resp.KPI's;
  • Je staat in voor de voorbereiding en opvolging van de bank convenantrapportage;
  • Je stelt de jaarlijkse budgetten van de verschillende business units op;
  • Je staat in voor de controle en optimalisatie van operationele kosten en berekening van beloningsplannen;
  • je staat in nauw contact met de boekhoudafdeling en zal mee sparrend rond de aanleg van provisies, cut-offs, etc.;
  • Je zorgt voor de opvolging en coördinatie van het proces voor de neerlegging van de jaarrekening en de aangifte vennootschapsbelasting van de groepsentiteiten;
  • Je bent het aanspreekpunt tijdens de jaarlijkse financiële audit.

Financiële analyses:

  • Je bent key-user van de financiële IT systemen (bv.Bright Analytics, Power BI, tijdsregistratiesystemen en financiële modules);
  • Je staat in voor het ontwikkelen, onderhouden en verbeteren van KPI rapporteringen en dashboards op basis van de IT tools.

Ad hoc projecten:

  • Je biedt assistentie bij de financiële integratie van overnames: financiële IT systemen, uniformisering van de rapportering, etc.;
  • Je biedt ondersteuning bij M&A trajecten (financial, tax and legal due diligence);
  • Je wordt mee betrokken in de migratie naar een nieuw ERP systeem.

Corporate Accountant

WALTERS PEOPLE in BERCHEM
time Online sinds 12 april 2024 - Vaste jobs

An international organisation in Berchem is looking for an enthousiastic, organised and pro-active Corporate accountant.Are you looking for a job within a dynamic and growing organisation?The Corporate Accountant will be directly reporting to the Regional Finance and Accounting Director and work closely together with all Shared Service Center Teams in satellite locations and the local finance teams.

The Accountant will be responsible for:

In this role you will take responsibility for the full A-Z administration and monthly reporting of our corporate entities, in close cooperation with the SSC and tax team.

  • Govern the correct PO creation and Invoice processing processes.
  • Follow up the weekly vendor payments performed SSC - payment team.
  • Perform treasury tasks with regard to intercompany loans, external financing arrangements and cash payments.
  • Record month end journals, typical for a listed company and perform payroll accounting, in cooperation with the SSC.
  • Perform the monthly and annual closing of the relevant entities, in accordance with strict deadlines.
  • Monthly review and reconciliations of balance sheet accounts.
  • Follow up monthly & annual VAT returns & IC listings & WHT.
  • Create a monthly corporate and divisional budget for the company and monitor expenditure - explain variances between actuals & budget.
  • Cooperate in the intercompany recharging process.
  • Maintain IFRS accounting data (e.g.IFRS 16 lease data).
  • Support the consolidation process.
  • Yearly budget process - in cooperation with Corporate Controller prepare budget.
  • Preparation of statutory accounts.
  • Provide financial advice based on data analysis to upper management.
  • Assist in audits and any ad hoc projects or process request.
  • Maintain the central legal database (minutes of meetings, contracts, statutory accounts,…) of the group entities in cooperation with the legal team.

Corporate Accountant

WALTERS PEOPLE in BERCHEM
time Online sinds 2 mei 2024 - Vaste jobs

An international organisation in Berchem is looking for an enthousiastic, organised and pro-active Corporate accountant.Are you looking for a job within a dynamic and growing organisation?The Corporate Accountant will be directly reporting to the Regional Finance and Accounting Director and work closely together with all Shared Service Center Teams in satellite locations and the local finance teams.

The Accountant will be responsible for:

In this role you will take responsibility for the full A-Z administration and monthly reporting of our corporate entities, in close cooperation with the SSC and tax team.

  • Govern the correct PO creation and Invoice processing processes.
  • Follow up the weekly vendor payments performed SSC - payment team.
  • Perform treasury tasks with regard to intercompany loans, external financing arrangements and cash payments.
  • Record month end journals, typical for a listed company and perform payroll accounting, in cooperation with the SSC.
  • Perform the monthly and annual closing of the relevant entities, in accordance with strict deadlines.
  • Monthly review and reconciliations of balance sheet accounts.
  • Follow up monthly & annual VAT returns & IC listings & WHT.
  • Create a monthly corporate and divisional budget for the company and monitor expenditure - explain variances between actuals & budget.
  • Cooperate in the intercompany recharging process.
  • Maintain IFRS accounting data (e.g.IFRS 16 lease data).
  • Support the consolidation process.
  • Yearly budget process - in cooperation with Corporate Controller prepare budget.
  • Preparation of statutory accounts.
  • Provide financial advice based on data analysis to upper management.
  • Assist in audits and any ad hoc projects or process request.
  • Maintain the central legal database (minutes of meetings, contracts, statutory accounts,…) of the group entities in cooperation with the legal team.

Credit and Treasury analyst

PAGE PERSONNEL in WATERLOO
time Online sinds 3 mei 2024 - Vaste jobs
  • You will be in charge of the Company treasury follow-up and customers credit control
  • In close collaboration with all members of the financial department and other Company departments

Client Details

  • Our client is a pioneer in the retail industry
  • Multinational
  • Excellent company culture
  • Flexibel employer (Homeoffice possibilities)
  • Their values: passion, creativity, sustainability, trans-alliance

Description

  1. Treasury follow-up
  • Assist the head of Controlling and CFO in overseeing efficient cash management processes, ensuring adequate liquidity at operating entity level and maximization of cash availability at corporate level.
  • Reports, and controls Company's bank wallet to optimize the contribution and support of external financial institutions (inclusive, guarantees, bank conditions, etc.).
  • Follow & arrange under CFO's instruction, the intercompany loans portfolio in conjunction with tax, with particular attention to transfer pricing.
  • Monitor Company's Foreign Exchange exposure, plan hedging and execute financial derivatives such as FX swaps and FX Forwards to mitigate financial risks to P&L and cash.
  • Ensure compliance with treasury policies and reporting requirements.
  • Ensure compliance with Shareholder's Delegation of Authority.
  • Maintain the intercompany loan portfolio and report to the CFO on the intercompany loan statement process.
  • Ensure daily recording and monitoring of the Company cash position.
  • Prepare monthly bank reconciliations and cash rolling forecasts.
  • Follow-up and report daily cash positions, make proposals to optimize cash management.
  • Prepare cash flow and working capital forecasts in partnership with business related parties (Sales, Ops & Fin) and report to Head of Controlling, CFO and Managing Director as well as Group.
  • Prepare and control netting settlements of intercompany transactions along Group rules.

  1. Customers' credit control and collection (Under Authority of the CFO)
  • Responsible for authorizing customers' credit limits and monitoring customers' collection terms and performance.
  • Authorize variations to the company standard payment terms and conditions within limits set by the credit policy.
  • Review and maintain updated data about customers' financial position including meetings with key customers on a regular basis.
  • Assess the credit worthiness of new customers.
  • Reporting of monthly number of days in receivables to Top Management.