Position Overview:
- Support the team with co-ordination, review and filing or delivery of the following compliance obligations for the funds:
- Corporate and partnership tax returns across multiple jurisdictions.
- US Schedule K-1 investor reporting.
- Reportable income calculation and investors statements under the UK Reporting Fund regime.
- Liaise with the fund administrator, external advisors to manage compliance and reporting requirements under FATCA, CRS and Economic Substance regimes
- Assist with the ASC 740 tax review of the Group's investment products, as well as maintenance of internal policies and framework documents.
- Help monitor international tax developments and other tax projects as directed, for example considerations for addressing new markets/jurisdictions or new funds.
- Support review of tax terms for SMAs and direct investments as well as investor side letters.
- Assist with documentation and process for the launch of new entities in the structure, and ongoing requirements for existing entities including external correspondence with tax authorities.
- Interact with various other internal departments including Finance, Operations, Legal, Compliance, and HR.
Required Qualifications:
- At least 3 years of relevant tax experience within the Financial Services tax team of a Professional Services firm or relevant industry experience
- Relevant recognized qualification (ACA, CTA, or equivalent)
- Team player with strong work ethic
- Self-motivated and able to work independently
- Excellent analytical skills and judgment
- Ability to multi-task as well as meet tight deadlines
- Strong interpersonal skills and exceptional organizational skills
- Ability to work within a rapidly moving environment and be adaptable to change
- Detail oriented; demonstrates thoroughness and strong ownership of work.
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