Be responsible for managing and coordinating tax compliance and advisory work for clients in the areas of investment and hedge funds, mutual funds and insurance.
Provide timely and high-quality services and work products that exceed client expectations.
Develop budgets, determine resource requirements and direct/monitor engagements, as well as participate in managing a compliance group by assisting with forecasting future compliance work, delegating work effectively and resolving staffing issues.
Maintain continuous interaction with clients, manage expectations and drive outstanding client service Build on technical competence by keeping up to date on trends and developments
Build client relationships and understand the clients industry to recognize key performance drivers, business trends and emerging technical and industry developments Conduct timely performance reviews and provide performance feedback/training
• A bachelor’s degree in accounting, finance, business, law or a related field
• A CPA or equivalent internationally recognized accounting certification, Enrolled Agent certification and/or JD/LLM/LPC degree or equivalent
A minimum of eight (8) years of relevant tax compliance or advisory
experience with demonstrated career progression and leadership skills; prior experience within a public accounting or professional services firm as well as the financial services industry is required
Broad exposure to federal income taxation and exposure to state and local tax
The successful candidates must have strong analytical, interpersonal and communication skills, an ability to work a flexible schedule as overtime will be required, as well as a dedication to teamwork and integrity within a professional environment.
This vacancy is listed on WORC, the Cayman Islands government job portal. Applications go through the official channel.
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