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Financial Services Risk analyst.
Head of Third Party Risk Management & Supplier Chain Optimisation - required to oversee all risk-related aspects concerning third-party supplier relations across the business. The role necessitates a strong focus on risk mitigation, strategic planning and framework implementation & tooling. Sector: financial services/fintech.
The Operational Risk and Control AVP will assist with the management and oversight of Operational Risk within the First Line of Defence by execution and adoption of the Operational Risk Management Framework .
This role of Liquidity Risk - AVP is a permanent position requiring an individual to manage liquidity risk within the financial services sector.
This position is for a Risk Manager in the Financial Services Industry, who will be based in Yorkshire. The successful candidate will be responsible for the management of the company's risk framework- identifying, assessing, and monitoring company-wide risks.
CREDIT RISK AVP / FINANCIAL SERVICES / 1 MONTH INITIAL CONTRACT / TEMP to PERM OPPORTUNITY / £300 DAILY RATE / IMMEDIATE STARTThe Credit Risk AVP will play a pivotal role in managing and assessing credit risks within the financial services sector.
Our client is an established investment manager who is looking to expand into Alternative products and is seeking a Head of Legal & Compliance with strong AIF product knowledge. The role will involve enforcing regulations in all aspects and levels of business as well as providing guidance on compliance matters.
The Chief Risk Officer will be a credit risk expert and conduct credit risk checks as well as oversee all risks. As the firm is a start up this person needs to do the doing and manage senior stakeholders. This is an on-site role, five days in the office.
Join our team as a Property Inspector to oversee and manage properties across London and the South-East, ensuring compliance, risk management, and client satisfaction.
Seeking a dedicated Supplier Risk Manager skilled in supplier relationship management, risk management, and stakeholder management. The role requires a professional adept at onboarding suppliers, managing sustainability, and training contract managers in various sectors.
An IT Project Manager is sought to oversee and facilitate the successful execution of IT projects within the energy and natural resources industry. The role requires strategic planning, risk management, and strong leadership skills.
In this pivotal role, the Group Treasury Manager will manage all treasury functions, including cash flow, investment, and risk management. With an emphasis on strategic thinking and strong financial acumen, the position requires someone who is comfortable being the subject matter expert on treasury.
The Cluster IT Manager is a Single Point of Contact representing Global Information Services towards clusters business leadership and local stakeholders. The role owns the IT demand in the clusters and is accountable for end-to-end IT engagement towards business solution delivery, technology strategy development based on business objectives, services management, risk management and relationship management within the functions in the clusters
An exceptional opportunity has arisen for a Senior Ingredients Buyer - Commodities with a strategic and analytical mindset, to lead a product portfolio. The successful candidate will be responsible for developing strategies, developing supplier relationships, ensuring the cost-effective procurement of ingredients commodities and risk management.
This Treasury Manager role primarily focuses on managing the company's cash flow, liquidity, credit, and risk management. The successful candidate will be instrumental in developing financial strategies and handling financial transactions. Hedging experience is valued.
Our Client are currently recruiting a Senior Internal Auditor to join their prestigious publicly listed company in Yorkshire. The successful candidate will be responsible for leading audits, evaluating risk management, and ensuring control processes are efficient and effective.
Achieve better efficiencies, optimise performance & growth through improving operational & financial risk management.
The Financial Planning and Prudential Risk Modeller will be a key player in the Regulatory Reporting and Analytics teams, bringing advanced IRRBB modelling skills to the table to aid strategic financial planning (BS forecast) and prudential risk management (capital and liquidity forecast) within the financial services industry. This role is based near West Malling, Kent and provides an opportunity to make a significant impact in a large charitable lender.
The Treasury Manager will play a crucial role in managing the company's financial assets and liabilities. This includes overseeing cash management, risk management, and corporate finance in the fast-moving consumer goods industry.
This role is for a Senior Project Accountant who will oversee financial reporting and budgeting of the projects. The candidate will be responsible for managing financial risks, working closely with project managers to ensure profitable and efficient operations.
To ensure that credit risk assessment of in-scope clients aligns to risk management frameworks to contribute to portfolio growth, sustainability and compliance.To assess, review and monitor counterparty credit risk, specifically non-bank financial institutions (NBFI's) in alignment with the relevant Credit risk management frameworks
Ensure and evaluate the effectiveness of internal control systems, risk management, and corporate governance processes.
Assist internal audit operations icnlduing financial statements, operational reports and risk management.
Responsible for developing, implementing, and maintaining effective risk management & internal controls framework within the organisation.
Optimise the company's performance and growth through improving the operational and financial risk management.
Provide clients with clarity over the performance of their risk management processes and raise recommendations for improvement.
This position is for a Treasury Manager in the Media industry, tasked with overseeing the accounting and finance department in a thriving company located in Leeds. The successful candidate will be responsible for managing cash flow, implementing financial risk management strategies, and liaising with stakeholders.
This position is for a Conduct Risk Associate in the financial services industry. The role involves proactive management of conduct risk matters within a team setting.
The role of an Accounts Manager is crucial in the professional services department. The successful candidate will manage accounting and finance tasks, ensuring top-notch financial planning and effective management of financial risks.
The Senior Treasury Accountant is a key figure in managing financial risks and optimising the company's liquidity in the thriving Energy & Natural Resources industry. They will be managing and coordinating treasury operations, cash management, and financial risk assessments for our established company based in London.
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