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Global Tax and Treasury Analyst

MACH operates the world’s leading hub-based mobile application exchange, uniting the global telecommunications marketplace. MACH enables the efficient flow of mobile traffic, of service validation, delivery and billing information, and of settlement transactions. MACH solutions unite Communications Service Providers (CSP’s) to realise new market opportunities, they connect CSP’s for the efficient delivery of mobile services, and they empower CSP’s to optimise business performance.

MACH is the largest provider of data and financial clearing solutions for wireless roaming and operates the world’s largest open connectivity roaming hub, Link2One. More than 60% of all NRTRDE files are processed and verified in MACH’s NRTRDE hub.

Headquartered in Luxembourg, MACH has offices in 12 countries and employs more than 1,000 people worldwide serving over 650 mobile network operators (MNO’s), as well as technology providers, fixed network operators, application stores, SMS aggregators, and supply chain management customers in nearly every country in the world.

MACH’s customers include CSP’s like Orange, Vodafone, TDC, Cable&Wireless, Verizon and Microsoft.

MACH is looking for an experienced and professional Global Tax and Treasury Analyst.

Job description

The role will focus upon management of global corporate tax and treasury issues .

As a Global Tax and Treasury Analyst, you will be responsible managing the liquidity of the company in consideration of company’s tax environment. The role will report directly to global Head of Tax and Treasury.

Key Responsibilities
  • Supporting the Head of Tax and Treasury in providing key stakeholders with accurate, timely and effectively communicated treasury cash flow and management information.
  • Taking a leading role in the preparation of monthly and quarterly treasury reporting including the draft Board reports, covenant compliance, cash flow forecasts, and inputs to management and statutory accounts.
  • Providing analysis and insight supporting improvements in treasury and cash flow management.
  • Maintaining and reporting from the treasury system and other supporting systems and models for treasury reporting.
  • Supporting the Head of Tax and Treasury in monitoring the tax compliance and structuring activities of the Group, liaising both internally and with the Group’s Big 4 advisors.
  • Following and ensuring compliance with relevant business processes and controls.
  • Assisting with the improvement of reporting processes and standardising outputs where possible to meet stakeholder needs efficiently.
Required Skills and Background
  • Fluent in English, both written and verbal. Any additional language being a plus.
  • Graduate level and/or will be ACT or accountancy qualified (or equivalent) with at least 3 years of experience in cash management or tax advisory
  • Ability to work independently, good self starter
  • Sound understanding of financial operations and cash management aspects
  • High level of professional and personal accountability.
  • Result-oriented, must be able to manage multiple priorities in a fast-paced environment
  • Strong organizational skills and ability to effectively manage time and meet deadline.

A valid work permit for Luxembourg is required.

If you are a great match to this profile and are interested in the position, please reply by sending your CV in English by email, quoting the reference FITA/TTA to joblux@mach.com

Only candidates who fit this profile will be considered.