Tax and Treasury Manager Job at Nuvia Dental Implant Centers
Nuvia Dental Implant Center is looking for a Tax and Treasury Manager to join our team. We provide dental implants and full mouth restorations to our patients, literally changing their lives. It's a unique time to join our organization, we are a rapidly growing company with many opportunities for advancement. Nuvia has an amazing company culture and we are looking for top talent to lay a solid foundation and set our teams up for success.
This position would be part of the Finance Team in our Central Support office located in Cottonwood Heights, UT.
Hours are full time, Monday-Friday 40hrs a week.
Nuvia is a great place to work! We pride ourselves in the satisfaction of our teams and believe if they are well taken care of, in turn, they will take great care of our patients. Our benefits package includes the following:
- Paid Medical Insurance
- Paid Dental Insurance
- Paid Life Insurance
- Paid Short Term Disability
- Paid Training
- Paid Time Off plan
- Paid Bereavement
- Paid Holidays
- Paid Parental Leave
- 401k match
- Employee Assistance Program
- Vision (voluntary)
- Long Term Disability (voluntary)
- Base Salary + Commission
The Tax & Treasury Manager will oversee the company's tax and treasury functions, ensure compliance with tax regulations, optimize tax efficiency, and manage the company's cash flow and financial risk.
Key Responsibilities:
- Develop and execute treasury strategies to optimize cash flow, manage risks, and minimize costs.
- Create, update, and maintain Opex and Capex budgets and report on variances
- Monitor and manage daily cash balances and prepare cash forecasts to ensure adequate liquidity.
- Manage the company's cash flow and liquidity, including forecasting, monitoring, and reporting on cash balances
- Assist the CFO in managing the company's debt and financing activities, including maintaining relationships with banks and other financial institutions
- Develop and implement policies and procedures to manage financial risk, including foreign exchange risk, interest rate risk, and credit risk
- Work closely with other departments, such as accounting and legal, to ensure tax and treasury activities are aligned with overall business objectives
- Provide advice and support to senior management on tax and treasury matters
- Develop and implement tax strategies that minimize the company's tax liabilities while ensuring compliance with applicable tax laws and regulations
- In conjunction with the company’s external tax firm, oversee the preparation of and filing of tax returns and ensure timely payment of all taxes
- Build a strong working relationship with external tax advisors and auditors
- Monitor changes in tax laws and regulations and assess their impact on the company's operations
- Prepare and review tax provisions for financial reporting purposes, including accrual recommendations for federal, state, and local tax requirements
- Promote a culture of excellence and continuous improvement.
Requirements:
- Bachelor's degree in accounting, finance, or a related field
- Certified Public Accountant (CPA) or Chartered Financial Analyst (CFA) certification is a plus
- At least 2-4 years of experience in tax and/or treasury roles
- Proficient in knowledge of tax laws and regulations, as well as accounting and finance principles
- Experience managing cash flow, debt, and financing activities
- Excellent communication and interpersonal skills, with the ability to build strong relationships with internal and external stakeholders
- Strong analytical and problem-solving skills
- Proven project management and follow-through skills
- Ability to work under pressure and manage multiple priorities
- Potential to grow as a leader in the finance organization
- Experience with financial systems and software, preferably Net Suite and Bill.com
Results:
- Manage cash flow and liquidity effectively and efficiently
- Build and maintain relationships with banks and financial institution's
- effective policies and procedures to manage financial risk
- Alignment of tax and treasury activities with overall business objectives
- Provide senior management with sound advice and support on tax and treasury matters
- If needed, develop a competent and efficient tax and treasury team.
- Ensure compliance with tax regulations and minimize tax liabilities
- Optimize tax efficiency through strategic planning and management
- Timely preparation and filing of tax returns and payments
- Strong relationships with external tax advisors and auditors
- Awareness of changes in tax laws and regulations and their impact on the business
- Accurate tax provisions for financial reporting purposes
Our team members are as diverse as the patients we serve. Imagine being part of a team that gets to give patients their confidence back through a brand new smile, we get to do it every day! We are eager to invent, find new solutions to problems and develop new processes. At Nuvia, we have a culture of excellence while still collaborating well as a team. We are obsessed with our patients, love what we do and feel honored to be able to provide such an incredible service.
If you feel like you would be a good fit with our culture and like the idea of changing people's lives, apply today! We look forward to meeting you!
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