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The role of Financial Accountant within business banking and lending requires strong technical accounting skills (ideally IFRS or GAAP, statutory reporting-led) to manage financial reporting and very high-level regulatory returns. This position is a fantastic opportunity for those looking to contribute to the success of an established organisation within the accounting and finance department whilst being given ample opportunity to develop FPnA skills too.
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.
This role focuses on ensuring accurate financial reporting within an SME Business Bank. The Financial & Regulatory Accountant will play a vital role in maintaining the Statutory Reporting cycle, high-level regulatory returns (can be learn as template-driven), and involvement within the FPnA side commercial in the Accounting & Finance department.
MOVING FROM IRELAND TO LONDON? Financial AccountantPosition sitting in the City of London as a Financial Accountant
Equity Exotics Product Control Senior Manager will oversee and manage the financial control and reporting of equity exotic products within the financial services sector whilst managing a large team of 6-10 people. This role in London requires a strong understanding of accounting principles and expertise in product control processes.
The Cash Analyst will support the Accounting & Finance department within the business services industry by managing cash flow processes and ensuring accuracy in financial transactions. This temporary position in London requires a detail-oriented professional with strong analytical skills.
A newly created, strategic UK role leading multi‑region treasury and corporate finance activity across the UK, US and Europe. You'll shape financial risk and funding strategy for a rapidly expanding multinational with a multi‑billion‑pound debt programme.
Reporting to the Financial Controller, but working closely with the Treasury team on a day‑to‑day basis, you will play a key role in managing the Group's FX exposure, supporting hedge accounting under IFRS 9, and delivering monthly management reporting.
This role blends financial accounting expertise with treasury exposure, giving you ownership across key areas like FX, intercompany, and cash management. You'll play a central role in evolving treasury processes, helping move the function towards a more structured, efficient, and scalable model.
The Treasury Manager will support the Group's debt strategy, liquidity management, and treasury operations. The role contributes to the execution of funding strategy, effective financial risk management, and ongoing development of best‑in‑class treasury operations, for the company and its Joint Ventures.
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