CAREERS


Bridgedale provides employees with an exciting challenging and rewarding career in a dynamic and rapidly expanding Company. We work to make a team environment that will attract the best people, and give them credible reasons to stay and grow their careers with us.

If you are interested in applying for one of our current vacancies please send your CV to jobs@bridgedale.ie

Tax & Treasury Specialist

 

Glenveagh Properties Plc are currently recruiting an experienced Tax & Treasury Specialist. The Tax & Treasury Specialist is a new position within the growing Finance department where you will partner with key internal and external stakeholders to deliver both Tax & Treasury solutions.

Glenveagh Properties provides employees with an exciting, challenging and rewarding career in a dynamic and rapidly expanding Company. We work to make a team environment that will attract the best people and give them credible reasons to stay and grow their careers with us.

Key Responsibilities

  • Providing support and specialist Tax & Treasury advice to the Finance Department and other business divisions.

Tax

  • Preparation and filing of tax returns in relation to the company’s corporation tax. Ad-hoc input into compliance and advisory matters relating to all other taxes including RCT, VAT, PAYE/PRSI, Capital Gains Tax, CAT, Stamp Duty, etc.
  • Preparing and reviewing tax provisions to meet quarterly and annual financial reporting requirements. Accounting for all balance sheet taxation transactions.
  • Developing and maintaining strong working relationships with internal stakeholders.
  • Keeping up to date with current tax legal/and regulatory requirements and ensuring that all financial transactions are conducted in line with relevant tax legislation.
  • Manage the company’s relationship with our external “Big 4” tax advisors.
  • Manage tax related audits and be the key liaison with revenue authorities.

Treasury

  • Manage all Treasury operations to include cash management, funds investment, third party payments and Treasury Management systems.
  • Maintain Banking relationships.
  • Provide analysis to CFO on all Treasury deals transacted.
  • Provide Cash Management services and prepare regular cash flow forecasts.
  • Develop and monitor compliance with internal Treasury policies and procedures.
  • Develop Risk Management strategies.
  • Monitor banking markets and events affecting counterparties, FX rates.

Key Requirements

  • A professional accounting and AITI Chartered Tax Advisor (CTA).
  • Strong analytical and technical skills across tax heads.
  • Proven experience and knowledge of Treasury practice, products and financial evaluation techniques.
  • Advanced Excel.
  • Strong interpersonal skills and the ability to work effectively both individually and as part of a team.
  • Experience within the Construction industry an advantage.

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