<Back to Search
Head of Tax and Treasury
Orange, CAMarch 27th, 2026
Century Group is partnering with a client that is seeking a Head of Tax and Treasury to join their team. Exact compensation may vary based on skills, experience, and location. Expected starting base salary of $171,000 to $285,000 per year. Job Responsibilities:Review and improve treasury and tax processes, systems, and tools across the organizationImplement automation in cash management and tax reporting to increase efficiencyStrengthen cross-functional relationships to identify and maximize tax benefitsDevelop team capabilities and enhance performance within treasury and tax operationsCollaborate with department leaders to uncover tax breaks and incentives Requirements: Manage daily cash inflows and outflows to optimize liquidity and ensure timely paymentsMaximize interest on deposits and coordinate with banks to move funds efficientlyOversee tax compliance and reporting processes while identifying tax incentives for company projectsDrive automation in treasury operations and integrate systems with ERP platforms like OracleLead RFPs for banking and credit card services and monitor fees to ensure cost-effectiveness Qualifications: Experience in treasury operations and leadership rolesFamiliarity with ERP systems and financial automation toolsBasic understanding of tax practices and compliance strategiesShow proven ability to lead and develop high-performing teamsPossess experience at the director level within a Big Four firm or similar environmentREF#50944
Showing 50 of 33,814 matching similar jobs in Springbrook, ND
- Investment Operations Accountant
- Senior Treasury & Cash Management Leader (Remote)RemoteMarch 26th, 2026
- Treasury Risk Senior Officer I
- Director of Treasury Strategies & Automation (Remote)
- Director of Treasury
- Sr. Manager, Treasury
- Fractional CFO / Head of Finance [40-60%], RemoteRemoteMarch 26th, 2026
- Chief Financial Officer (CFO)
- Investment Operations Accountant
- Senior Treasury Operations Analyst
- Sr. Manager, Treasury
- Chief Financial Officer (CFO)
- Corporate Controller
- Board Member, Finance & Investment Strategy
- Finance & Compliance Analyst
- Board Member, Finance & Investment Strategy
- Board Member, Finance & Investment Strategy
- Board Member, Finance & Investment Strategy
- Board Member, Finance & Investment Strategy
- Board Member, Finance & Investment Strategy
- Board Member, Finance & Investment Strategy
- Board Member, Finance & Investment Strategy
- Board Member, Finance & Investment Strategy
- Board Member, Finance & Investment Strategy
- Treasury and Cash Management Analyst - Hybrid (3 days/week) - Long term contract - Washington, DC -
- Senior Accountant - Consolidations & Reporting
- Senior Fund Accountant
- Sr Treasury Analyst (FEP)
- Strategic Treasury Partner
- Strategic Treasury Partner
- Senior Accountant - Consolidations & Reporting
- Chief Financial Officer (CFO)
- Strategic Treasury Partner
- Investment Reporting Manager
- Sr Treasury Analyst (FEP)
- Treasury Management Support Specialist
- Manager Treasury - Liquidity Reporting Analytics (Hybrid)
- Treasury Management Product Owner
- Treasury Sales Officer II
- Treasury Coordinator