Spinrite is the largest craft yarn and sewing thread company in North America. As an industry leader focused on driving growth and execution excellence, we are looking for a Tax & Treasury Manager to support our North American Finance Team.

Reporting to the CFO, this role will coordinate Spinrite’s corporate income tax and sales & use tax compliance team along with overall management of treasury and risk management functions. This role will also be involved with special projects that will include collaboration with cross-functional teams and the executive team.

Spinrite continues to execute on aggressive growth plans. This position is an excellent opportunity for anyone who thrives within a process-oriented and evolving workplace.


Duties and responsibilities:

Tax:

  • Manage corporate tax compliance for all Spinrite companies which currently involves both Canadian and US tax compliance, including:
    • Preparation of income tax provision calculations,
    • Coordination of tax return preparation with outside tax service providers,
    • Monitoring and executing tax installments/payments,
    • Monitoring and assisting with tax audits
  • Manage transfer pricing compliance
  • Manage day-to-day transfer pricing function such as periodically adjusting transfer prices for existing products and setting transfer prices for new products as needed
  • Coordinate with outside tax advisors as appropriate
  • Manage sales and use tax compliance for all Spinrite companies including tax return preparation, tax payments, tax audits (Involves analysis of states/provinces where tax nexus may exist, with assistance of outside advisors)
  • Manage property tax filings and annual corporate registration filings

Treasury & Risk Management:

  • Manage relationships with lenders, legal advisors, as well as US/Canadian corporate representatives
  • Prepare quarterly and annual Bank Compliance Certificates
  • Prepare cash flow projections to aid in management of cash flow
  • Manage FX currency hedging program including annual GMEI Utility renewals
  • Manage annual insurance renewal processes
  • Monitoring and preparing claims for various government incentives (i.e. Canadian Emergency Wage Subsidy)

Other:

  • Supervision of tax & treasury staff
  • Other duties as assigned

Qualifications:

  • Bachelor’s Degree in business or accounting, or equivalent experience
  • 5+ years’ experience in an accounting or finance role with at least 2 years’ experience in corporate tax
  • Previous exposure to sales and use tax compliance would be beneficial
  • Software experience with ERP (D365) and Bl systems is an asset
  • Proficient in developing excel models
  • Excellent organization and time management skills
  • Ability to work efficiently both independently and with teams
  • Ability to prioritize workload effectively and meet time sensitive deadlines
  • Exceptional interpersonal skills (including oral and written communication)
  • Highly motivated, proactive and enthusiastic team player.
  • Process oriented with a critical attention to detail and a high degree of accuracy
  • Strong analytical and problem-solving skills – solution focused