Your mission
Corporate Tax, Transfer Pricing & Advisory Coordination
Drive and shape corporate tax activities across multiple jurisdictions, focusing on CIT, withholding taxes, and tax optimization opportunities.
Review and monitor tax calculations, provisions, and cash flow planning, ensuring compliance while continuously improving processes at local and group level.
Maintain and enhance transfer pricing policies, intercompany agreements, and annual TP calculations.
Collaborate with external tax advisors, auditors, and consulting firms—coordinating projects, reviewing analyses, implementing recommendations, and managing audit responses.
Lead independent projects addressing complex financial and tax challenges, and serve as a trusted point of contact for operational tax and treasury questions.
Treasury
Support short-term liquidity planning and bank account management while helping to implement a EUR cash pool and optimize cash positions across the group.
Work closely with global finance managers to allocate liquidity efficiently and manage refinancing tranches within existing financing structures.
Oversee daily cash management, payment transactions, and intercompany financing agreements, including interest calculations.
Enhance the Treasury Management System and define requirements for improvements to core treasury IT applications.