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The Junior Treasury Dealer will support the treasury team in managing liquidity, funding, and foreign exchange operations within an International Bank.
This Financial Control role in the Financial Services industry offers an exciting opportunity to contribute to a fast-paced Banking & Financial Services department in London. The position requires a detail-oriented professional to oversee financial processes and reporting while ensuring compliance with industry standards.
The Compliance Analyst/Associate will support the Compliance Manager and CCO in ensuring the firm adheres to all relevant regulatory requirements, including FCA rules and broader UK/EU financial regulations. This is a hands-on role suited to a proactive individual looking to deepen their experience in a dynamic and fast-paced environment.
The role of Enterprise Risk Manager - Global Investment Management firm involves overseeing and enhancing the risk management framework within this Global Investment Management firm.
The Head of Pricing will lead the development and implementation of pricing strategies to optimise revenue and profitability within this established InsurTech house. This role requires strategic thinking and expertise in SAAS platform product/Insurance/or Pricing Consultancy to drive business growth.
A senior opportunity within a global bank to lead credit risk coverage for hedge funds and asset managers across EMEA. The role combines underwriting, portfolio monitoring, and strategic stakeholder engagement to support disciplined business growth.This is a permanent role and is based in London
The role of a Financial Services Administrator involves providing comprehensive administrative support to ensure the smooth operation of financial services within the accounting and finance department. Based in Horsham, this position requires a detail-oriented individual who can manage tasks efficiently and maintain high levels of accuracy.
Client Onboarding Analyst role focused on high-risk clients entities. Experience with end-to-end KYC for entity structures such as Trusts, Funds, Charities, Etc. would be advantageous.
The role of Operational Risk Manager in the public sector involves overseeing and enhancing risk management frameworks to ensure regulatory compliance. Based in Crewe, this position requires a structured and analytical approach to manage operational risks effectively.
This temporary role as a Credit Risk Manager in London requires expertise in assessing and managing credit risk within the financial services industry. The successful candidate will play a key role in ensuring robust credit risk controls are in place for the organisation.
The role of Market Risk Analyst requires a detail-oriented professional to assess, monitor, and report on market risks within the financial services industry. This is a temporary position based in London, offering a competitive daily rate.
The Accounts Receivable position in the Transport & Distribution industry involves managing invoicing processes, reconciling accounts, and ensuring timely collection of payments. This role is ideal for someone with a keen eye for detail and strong organisational skills.
This Accounts Payable role requires fluency in French, Spanish, Italian, or German to provide exceptional support within the accounting and finance department. The position is ideal for individuals seeking a challenging opportunity!
This role is a hands-on accounting position responsible for managing day-to-day financial operations, including ledgers, reconciliations, payments, and reporting across multiple entities. It suits someone with practice or LLP experience who wants ownership of finance processes in a fast-paced, commercially focused environment.
We are seeking a meticulous Revenue Accountant to join a leading organisation in the financial services industry. This temporary role is based in London and focuses on managing revenue-related accounting tasks with precision and efficiency.
Interim PA Dealing specialist role.If you have experience with PA Dealing and are immediately available, we would love to hear from you.
FPandA Senior Manager*50% -- Full PnL, Cashflow, Balance Sheet*Commercial analysis, budget and forecast*50% -- Projects / Systems change, UAT/Test Scrips
The Renewable Energy Insurance Risk Manager will play a crucial role in managing and assessing insurance risks within the renewable energy sector. This permanent position is based in London and offers a competitive salary for a professional in the Insurance Risk, or Renewable Energy Sectors.
We are seeking an experienced, meticulous and detail-oriented Senior Bookkeeper to join a team in the investment industry in London. The role involves overseeing financial records, ensuring accuracy, and supporting financial operations within the finance department.
We are working on behalf of a leading UK bank to identify a Managing Director - Financial Institutions Credit to join its senior risk leadership team. This is a highly strategic role with significant delegated authority and influence across one of the bank's most complex and high-profile portfolios.
A leading international investment bank is seeking to appoint a VP / Director Emerging Markets Credit Trader to join its Global Credit Trading platform based in London.
The Senior Management Accountant will lead a team with the preparation of the monthly management accounts. You will produce analysis to forecast, and oversee preparation of reporting packs to deliver insightful analysis on results to senior stakeholders. You will act as a business partner to the team, ensuring that results are reported on a timely and accurate basis and trends and deviations from forecasts are full understood.
Actively trade Emerging Markets hard‑currency credit, make markets, manage risk, and support primary issuance within a global flow trading platform. You will be working closely with internal teams and combining client-facing market making with disciplined risk taking and technology‑driven execution.
Supporting the CIO on portfolio analysis, reporting and investment decisionsBuilding and automating analytics using PythonRunning ad‑hoc analysis across investment portfoliosDeveloping foundations in ALM, capital markets and quantitative financeGaining broad exposure quickly, with scope to take on increasing responsibilityOccasional travel to mainland Europe
This role provides support to the team including typing reports, arranging travel & maintaining client records. We are looking for a person with excellent organisational skills to manage & prioritise administrative tasks efficiently in a fast-paced environment.
Relationship Manager role reporting to the CEO, responsible for originating and executing UK property finance transactions while building a strong deposit base. Combines origination, structuring, credit delivery and client coverage across developers, brokers and institutional funding partners.
To operate as a key member of the FX trading team, providing specialist expertise across FX spot and derivative products, and independently managing the bank's full Trading Book positions when required.
This role sits within the compliance function and is responsible for overseeing restricted securities controls in support of direct and fund investment activity. The position partners closely with investment teams to ensure adherence to information‑barrier, MNPI and regulatory requirements.
Are you an experienced leader with a passion for compliance and risk from the Crypto & Fintech industry? Are someone who understands TradFi and started your career there, but have moved to the Crypto world in recent years, ideally into Defi? You are based in Europe? Then I am happy to receive your application.
The role of a Corporate Banking Manager involves managing client relationships and delivering tailored financial solutions for regional SME businesses. Based in Guildford, this position requires a deep understanding of corporate banking and a commitment to achieving client satisfaction. You be responsible for credit analysis, credit paper creation, account and relationship management and well as Business Development.
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