A company is looking for a Tax & Treasury Manager to establish and shape its first dedicated function within tax and treasury.Key ResponsibilitiesManage daily liquidity planning and cash management, including cash flow monitoringEnsure accurate tax management and regulatory compliance in various tax areasSupport process improvements and collaborate with cross-functional teamsRequired Qualifications5+ years of experience in treasury, tax, or combined finance roles in international organizationsStrong understanding of liquidity planning, tax management, and financial analysisCompetence in direct and indirect taxation, preferably in group structuresExperience in fast-growing environments with a focus on driving improvementsFamiliarity with NetSuite is considered an advantage