
Manager, Tax and Treasury
BlueCat
full-time
Posted on:
Location Type: Remote
Location: Remote • 🇺🇸 United States
Visit company websiteJob Level
Mid-LevelSenior
About the role
- Prepare and file US sales use tax returns including managing registrations, ensuring timely submission and processing related payments.
- Coordinate with third-party vendors and advisors to provide required data and support for international indirect tax filings (e.g., GST/HST, QST, and VAT).
- Perform account reconciliations for indirect tax balances, ensuring accuracy between filings, payments, and general ledger accounts.
- Resolve filing discrepancies and tax authority inquiries, working collaboratively with internal teams and external providers to maintain compliance across jurisdictions.
- Serve as the internal lead for all tax matters across the organization.
- Coordinate with third-party tax advisors for preparation of corporate income tax filings (U.S. federal, and international).
- Oversee the collection and organization of data required for global tax compliance and ensure timely submissions.
- Support annual tax provision process and related reporting.
- Act as the primary internal point of contact for tax inquiries, audits, and information requests.
- Partner with external advisors to ensure all compliance obligations across jurisdictions are identified and properly managed.
- Review reconciliations of tax accounts and assist in the month-end close process.
- Collaborate with 3rd party providers on documentation and strategy.
- Prepare transfer pricing calculations and post quarterly journal entries.
- Partner with the Finance team on cash flow forecasting, borrowing needs, current balances, and investment planning.
- Manage cash balances across bank accounts, ensuring sufficient liquidity for operations and strategic initiatives.
- Set up, review, and release wire transfers and other payment transactions in accordance with company policies and controls.
- Monitor and manage the organization’s bank relationships and liquidity management.
- Collaborate closely with finance, legal and accounting on tax requirements, tax filings, month end close, treasury, cash forecasting and corporate secretarial matters.
- Participate in special projects, including tax strategy, forecasting, corporate initiatives, and identifying process efficiencies.
- Act as a liaison with auditors and provide necessary documentation.
Requirements
- A bachelor’s degree in accounting or equivalent work experience.
- CPA designation with a strong tax knowledge base.
- Minimum of 4 years of experience in B2B SaaS software corporate tax, indirect tax, treasury, or a public accounting firm.
- Strong knowledge of U.S. tax fundamentals
- Strong analytical, problem-solving, project management and organizational skills.
- Technological competency, specifically related to reporting and compliance, including Excel, Word, NetSuite, and Avalara.
- A positive, roll-up-your-sleeves, can-do attitude with the heart of a team player.
- M+A experience preferred.
- Private equity backed experience preferred.
Benefits
- A Professional Development Budget
- Dedicated Wellness Days and Wellness Week
- A Lifestyle Spending Account
- An Employee Recognition Program
Applicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.
Hard skills
US sales use tax returnsindirect tax filingsaccount reconciliationstax compliancetransfer pricing calculationscash flow forecastingmonth-end close processfinancial reportingtax strategyprocess efficiencies
Soft skills
analytical skillsproblem-solvingproject managementorganizational skillscollaborationcommunicationteam player attitudeattention to detailadaptabilityleadership
Certifications
CPA designationbachelor’s degree in accounting