Join SportPursuit and Forge Your Path in Tax and Treasury in a Growing, Dynamic Company
Overview
No salary declared 😔
UK - Remote/Hybrid
Expires at anytime
SportPursuit is an expanding company that thrives on dynamism and passion for sports. With a friendly team atmosphere, SportPursuit is dedicated to providing exciting opportunities for personal growth and professional development in the niche of sports retail. At SportPursuit, diversity is celebrated, and an inclusive environment is nurtured, allowing employees to bring their authentic selves to a workplace that values diversity of thought and the dynamism it brings.
- Manage VAT, Corporation tax, Transfer pricing, and other tax-related tasks.
- Handle treasury duties, including cash flow forecasting, cash deposits planning, currency management, and FX hedging strategy execution.
- 2+ years of experience as an accountant in practice or industry.
- Part-qualified or fully qualified (ACA, CTA, CIMA, etc.).
- Willingness to learn about SQL/data and proficiency in data analysis.
- Disciplined, methodical, and well-organized with the ability to prioritize tasks.
- Proficient in Microsoft Excel and strong communication skills in English.
- Mathematically minded, logical thinker, and problem solver.
- Eager to learn and develop professionally.
Enjoy benefits such as a core hours working pattern, 25 days holiday with the option to buy 5 more, flexible bank holidays, remote work opportunities, a workplace pension, a learning and development budget, staff discounts, and engaging social events.
We are SportPursuit, a dynamic, friendly and expanding company. We are looking for an intelligent individual to take responsibility for all things tax and treasury. This is a newly created role, and we are placing more attention on this area as the business grows. We are keen to find the right person who is eager to take ownership and develop. You can be at various stages of your career to succeed in this role, the main thing for us is finding the right person with a great attitude. If you’re keen to learn and develop whilst crafting your next role, we’d love to speak to you!
The role entails managing VAT, Corporation tax, Transfer pricing and other taxes. You will also be responsible for treasury tasks such as building and maintaining medium to long term cash flow forecasts, planning cash deposits, managing currency and executing FX hedging strategy. Prior experience in all areas is not a requirement, but you must have a willingness to learn, develop and take ownership in these areas.
Job requirements include being an experienced accountant (2+ years) within practice or industry, ideally part-qualified or fully qualified (ACA, CTA, CIMA, etc.). You should be keen to learn about SQL/data, comfortable with obtaining and analysing data, disciplined and methodical in your approach to tasks, well organised and able to prioritise your workload, proficient in using Microsoft Excel, an effective communicator in both written and verbal English, mathematically minded, a logical thinker who is great at solving problems independently and eager to develop your skills and learn new things.
Benefits include a friendly and dynamic working environment with a Core Hours working pattern, 25 days of holiday a year with the opportunity to purchase an additional 5 days extra, flexible Bank Holidays, the ability to work anywhere in the world for up to 30 working days a year, a workplace pension, a Learning and Development budget, staff discount, Lunch & Learn sessions, socials, and free food and drink when in the office.
We are dedicated to nurturing an inclusive environment where employees can bring their full selves to work. We celebrate diversity of thought and recognise the strength and dynamism that comes with it.