Director, Tax & Treasury (Washington) Job at Cordia Resources, Washington DC

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  • Cordia Resources
  • Washington DC

Job Description

Director, Tax & Treasury

$200,000 - $220,000 base salary, depending on experience. Additional annual target bonus of 20%. Equity is not included in this position.

Reporting to the Chief Financial Officer, this is a highly unique opportunity to shape the Tax and Treasury strategy for our $250m global professional services client, with multiple locations in the US and abroad.

This role boasts a very flexible remote vs. in-office schedule, however we are seeking East Coast (EST) candidates, ideally.

Occasional travel to Washington, DC region.

The Director, Tax & Treasury will lead all global and domestic tax planning and compliance, global cash management, and funding strategies for a fastgrowing professional services firm operating in 20+ countries. He/she will optimize capital structure, minimize tax liabilities, ensure compliance, and enable scalable financial operations across jurisdictions.

She/he will have the opportunity, along with support from the firm's external tax partner, to help build out the Tax group and operations. This individual will also help operate the Treasury group, with support from the 10person global staff and firm Executives/support.

Ideal candidate enjoys handling both functions. Core tax background is preferred, as is a dynamic attitude to step and help lead. On the tax front, this person will be more of an individual contributor to begin.

Experience Overview

Tax Strategy and Compliance (Global and Domestic)

  • Lead global tax planning and strategy to align with business goals while managing risk and ensuring compliance.
  • Oversee direct and indirect tax compliance, including corporate income tax, VAT/GST, and transfer pricing documentation across all jurisdictions.
  • Manage global tax audits and disputes.
  • Stay current on global tax legislation and assess the impact on the business.

Treasury Leadership

  • Develop and execute global cash management and liquidity strategies to optimize working capital and minimize cost of capital.
  • Oversee global banking relationships, cash pooling, FX risk, and debt management.
  • Monitor and manage shortterm/longterm financing; oversee intercompany financing and funding flows.
  • Implement and manage treasury technology, controls, and best practices.

Leadership and Partnership

  • Build and lead a highperforming treasury and tax team across regions.
  • Partner with FP&A, Accounting, Legal, and local finance teams to support crossfunctional initiatives.
  • Provide strategic advice to the CFO and executive team on treasury and tax implications of business decisions, including M&A, entity structuring, and market expansions.

Qualifications/Preferences

  • 8+ years of experience required
  • BS/BA in Finance or Accounting required
  • Masters in Taxation preferred
  • CPA is highly preferred
  • Five (5) years in a leadership role required
  • Strong technical knowledge of global tax regulations, transfer pricing, and treasury operations.
  • Private equity exposure/experience is preferred
  • Proven ability to operate strategically and tactically in a dynamic, fastpaced global business.
  • Excellent communication, negotiation, and stakeholder management skills.
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Job Tags

Full time, Work at office, Local area, Remote work, Flexible hours,

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