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Tax & Treasury Manager Jobs
Company | Miovision |
Address | Canada |
Employment type | FULL_TIME |
Salary | |
Category | Software Development |
Expires | 2023-06-12 |
Posted at | 11 months ago |
Miovision is a global industry leading company providing agencies and organizations modern tools to improve today’s traffic problems. We offer solutions that collect multimodal traffic data and uncover actionable insights, helping organizations get more out of their road network. The result: streets capable of moving more people – safely and efficiently – whether they are in a car, on a bus, on a bike or e-scooter, or walking. Since 2005, our systems have counted or assisted more than thirty billion vehicles around the world. With global headquarters in Kitchener, Canada, as well as operations in Germany, Serbia and the United States. For more information, visit miovision.com.
Position Summary
Reporting to the Controller, we are seeking an experienced Tax and Treasury Manager to oversee all tax and treasury related functions within our organization. In this position, you will be responsible for ensuring compliance with tax laws and regulations, managing cash flow, and optimizing financial operations to support the company’s growth and profitability. This is a great opportunity in the tech industry and will challenge the incumbent to thrive in a dynamic team environment, where you will be empowered to make your mark.
Key Accountabilities
- Contribute to the formulation of transfer pricing requirements between Canadian, US, and International operations
- Ensure timely and accurate payment of all taxes, including income tax, sales tax and other taxes as required
- Manage the company’s treasury operations, including cash flow forecasting, investment management, and debt financing
- Ensure compliance with bank credit agreement(s)
- Develop and implement treasury policies and procedures to ensure efficient management of the company’s cash and investment portfolio
- Working closely with the Company’s external tax advisors, manage and oversee the preparation and filing of year-end tax returns (T2 including SR&ED and US Based Returns), and ensuring compliance with government standards
- Optimize the company’s financial operations, including managing banking relationships, analyzing financial data, and recommending improvements to cash management processes
- Respond to internal ad-hoc requests in a professional and timely manner
- Prepare Canada and US Sales and Use Tax (SUT) filings, Business & Occupancy (B&O), and State Income Tax Filings in registered states. Identify additional states that require registration based on the Company’s sales volumes and complete registrations as needed
- Monitor and manage foreign exchange risk, interest risk and credit risk. This includes analyzing exposures and recommending hedge positions
- Manage and accurately complete periodic bank exams and appraisals
- Work with external auditors and tax advisors to ensure compliance with all tax laws and regulations
- Oversee the Company’s Credit Card program
- Manage a direct report, Credit and Collections Specialist, ensuring best practices are used to minimize bad debt and maximize collections
- Stay up-to-date on changes in tax laws and regulations and communicate any relevant updates to the management team
Skills/Qualifications
- 5+ years of relevant industry work experience in Treasury and Tax management related roles
- Strong analytical and problem solving skills
- Proficiency in Microsoft Office Suite skills including Excel
- Detail oriented and strong sense of accountability in meeting committed deadlines
- Ability to work independently with minimal supervision
- General knowledge of Canada, US and International tax standards
- Ability to work in a fast paced environment, prioritize appropriately and handle multiple tasks simultaneously
- Experience with cash management and forecasting techniques
- Excellent communication, organizational and interpersonal skills
- Bachelor’s degree in accounting, finance, or a related field; advanced degree or CPA designation preferred
- Experience with Netsuite and Avalara considered an asset
Perks and Benefits
Note: We have reopened our Canadian and US offices but will continue to offer flexible onsite and remote work options. Our Benefits are designed to reflect this and include:
- Mio-Days: We extend all three-day weekends to four-days and provide a Holiday Shutdown in December
- Virtual fitness classes
- Enhanced paternity and maternity leaves
- Virtual Healthcare Service providing employees and their families access to healthcare providers 24/7
- RRSP Matching Plan
- Comprehensive health benefits starting on day one
- Unlimited vacation policy
- Internet subsidy and a remote work allowance
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