Unknown Company

Tax & Treasury Analyst

dallas, tx • Posted 6 days ago
Onsite Full Time Business and Financial Operations Occupations
Tax & Treasury Analyst Tax

Our client is seeking a Tax & Treasury Analyst to support the tax and cash management functions. The role is split roughly evenly between tax accounting and treasury analysis. Key Responsibilities

  • Tax Compliance: Prepare and maintain workpapers supporting federal and state income tax filings for partnerships, trusts, corporations, and individuals.
  • External Coordination: Serve as the day-to-day liaison to external tax preparers, managing information requests, filing calendars, and deliverable tracking.
  • Estimates & Projections: Prepare quarterly estimated tax calculations and taxable income projections across entities.
  • K-1 Management: Track inbound and outbound K-1s, reconcile to book records, and maintain partner and beneficiary capital account detail.
  • Return Review: Review draft returns for accuracy, consistency across entities, and proper treatment of book-to-tax differences.
  • Planning Support: Assist with research and modeling on entity structuring, gifting, basis, and transaction-related tax matters.
  • Cash Management: Monitor daily cash positions across bank and brokerage accounts, ensuring adequate liquidity and efficient allocation at each entity.
  • Cash Forecasting: Build and maintain rolling cash flow forecasts incorporating capital calls, distributions, debt service, and operating needs.
  • Capital Movements: Prepare and document intercompany transfers, funding requests, and distributions, ensuring proper approval and recordkeeping.
  • Banking Administration: Support banking relationships, including account openings, signatory maintenance, and treasury platform administration.
  • Treasury Reporting: Produce recurring liquidity and treasury reporting for principals and leadership.
  • Process & Systems: Contribute to process improvements and automation across tax and treasury workflows, leveraging technology for efficient reporting and analytics.

Qualifications

  • 2+ years in public accounting or a comparable finance role; Big 4 background strongly preferred. Exposure to family offices, partnerships, trusts, or private investment structures is a plus.
  • Active CPA license required.
  • Bachelor's in Accounting, Finance, or related field; Master's in Taxation or Accounting a plus.
  • Advanced Excel and proficiency with the Microsoft Office Suite; experience with accounting and tax software (Sage Intacct, CCH Axcess, or similar) preferred, with a strong interest in leveraging technology to enhance reporting capabilities.
  • Working knowledge of partnership, trust, and individual taxation, including estimates, K-1s, and filings.

Tax & Treasury Analyst in dallas at Unknown Company

This position is listed as full time and onsite.

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