What are the responsibilities and job description for the Tax Treasury Accountant position at Creative Financial Staffing?
π¦ Job Description: Treasury/Tax Accountant π
π We are currently seeking a highly motivated and detail-oriented individual to fill the role of Treasury/Tax Accountant. In this position, you will be responsible for managing various tax-related tasks, including property tax rendition, sales tax reconciliation, and ensuring compliance with tax regulations across jurisdictions. Additionally, you will play a crucial role in revitalizing a position that previously involved splitting up responsibilities, streamlining the tax process, and taking charge of sales and use tax bank reconciliations. As the Treasury/Tax Accountant, you will work closely with the finance team and tax representatives to handle cash management with tax responsibilities and ensure accurate tax reporting without involvement in the General Ledger (GL) activities. πΌπ°πΌ
Perks of Working Here:
- Comprehensive Benefits Package: Our client offers a competitive benefits package that includes health, dental, and vision insurance, as well as a 401(k) retirement plan, ensuring your well-being and financial security.
- Hybrid Work Schedule: Embrace work-life balance with a flexible hybrid work schedule, allowing you to work both from the office and remotely. Enjoy the convenience of tailoring your work environment to suit your preferences and needs.
- Company Stability: With over 30 years of successful operations, you can feel confident in the stability and reputation of our company. Join a team with a proven track record of excellence and continued growth.
π Responsibilities:
- Prepare and file property tax renditions accurately and on time, ensuring compliance with relevant regulations and deadlines. π’π°π
- Conduct sales tax reconciliations, verifying transactions and ensuring accurate reporting of sales tax liabilities. π±ππΌ
- Manage and ensure compliance with tax requirements across different jurisdictions, staying up-to-date with changes in tax laws and regulations. πΊpπ πΌ
- Take the lead in revitalizing the Treasury/Tax position, consolidating tax responsibilities to streamline processes and improve efficiency. ππΌπ
- Perform bank reconciliations related to sales and use tax accounts, identifying and resolving discrepancies promptly. π³ππ§
- Handle cash management duties, including monitoring and reconciling tax-related accounts, ensuring appropriate fund allocations. πΌπ΅π
- Collaborate with tax representatives and finance team members to ensure accurate and timely tax reporting and compliance. π€ππΌ
- Maintain accurate and organized tax records and documentation for audit purposes. πππ
- Assist in special tax projects and initiatives as required, supporting the broader financial objectives of the organization. π―ππ
π Requirements:
- Bachelor's degree in Accounting, Finance, or a related field. πππΌ
- Proven experience in tax accounting, with a strong focus on property tax rendition, sales tax reconciliation, and jurisdiction compliance. πΌπ’π
- Solid understanding of tax laws, regulations, and reporting requirements. πππ
- Strong analytical and problem-solving skills, with a keen eye for detail. π΅οΈββοΈππ§
- Experience with cash management and bank reconciliations. πΌπ΅π
- Excellent communication and collaboration skills to work effectively with cross-functional teams. π£οΈπ€πΌ
- High level of integrity and professionalism in handling sensitive financial information. π΅οΈββοΈπ€πΌ
- Proficiency in relevant accounting software and MS Excel. π₯οΈππ
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Salary : $10 - $100