3 days ago

Logo of Epos Now

Tax and Treasury Manager

Epos Now

Remote

Join one of the fastest growing UK tech companies! Epos Now offers a market leading product and an award winning brand, there has never been a more exciting time to join our driven team. We’re looking for an ambitious tax and treasury manager to join our existing team who operate with customers all over Europe, United States and Australia.

Epos Now is a cutting-edge cloud based business operating within the payments and POS space empowered by a global workforce supporting consumers across over 71 countries. Our passion continues to deliver exponential growth, as we continue to deliver our vision “to make Commerce accessible for everyone.



About the Role
Were looking for an experienced Tax & Treasury Manager to join our finance leadership team. This is a vital role that blends strategic oversight with hands-on delivery across tax, treasury, and financial risk. Youll ensure full compliance with tax obligations across multiple jurisdictions while proactively managing liquidity and cash flow to support the company’s operational needs and growth ambitions.

You’ll be leading and developing a small team, driving improvements, and helping shape our financial strategy and governance. If youre someone who enjoys balancing detailed tactical work with big-picture thinking, this could be the perfect next step.


Key Responsibilities

Leadership & Team Development

  • Lead and develop the Treasury Assistant, supporting growth and performance.
  • Contribute to senior management discussions, supporting the wider finance strategy.
  • Continuously review and improve treasury processes for efficiency and effectiveness.

Cash & Treasury Management

  • Manage daily cash positions and ensure optimal use of cash resources.
  • Develop short-, medium- and long-term cash flow forecasts.
  • Identify and manage FX exposures, and implement effective hedging strategies.
  • Maintain strong relationships with banking partners and ensure banking infrastructure meets evolving business needs.
  • Oversee internal controls, payment processes, and supplier management.

Tax & Regulatory Compliance

  • Ensure accurate and timely submission of VAT returns and other statutory filings.
  • Oversee compliance with P11D, tax, and financial control obligations.
  • Manage payment authorisations and ensure robust invoice checking and approvals.

Strategic Support & Reporting

  • Deliver accurate and timely financial reporting, including intercompany and balance sheet reconciliations.
  • Ensure regulatory returns are filed across all group entities.
  • Lead departmental budgeting and forecasting, monitoring performance against targets.
  • Support insurance and risk management processes, and maintain the Finance Risk Register.

Cash Flow & Financial Protection

  • Maintain and review a 13-week rolling cash flow forecast.
  • Implement and uphold credit control policies.
  • Ensure stock and supplier management aligns with operational requirements.

What We’re Looking For

  • Proven experience in a similar tax, treasury, or senior finance role.
  • Strong leadership and team development capabilities.
  • Excellent analytical, cash management, and forecasting skills.
  • Confident in stakeholder management, with strong communication skills.
  • A proactive, solution-oriented approach with an eye for detail.
  • Ideally ACCA, ACA, CIMA or similar qualification.

What Youll Get

  • A pivotal role in a dynamic and growing business.
  • Competitive salary and benefits package.
  • Opportunities for professional development.
  • A collaborative and supportive team environment.