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We're recruiting for a Treasury Accountant to join a high-performing finance team supporting the reporting and management of a large-scale multi-billion-pound funding portfolio. This role offers broad exposure to treasury operations, financial reporting, cash management, and stakeholder engagement within a complex and fast-paced environment.
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.
Play a key role at the centre of Group Finance, delivering high-impact statutory reporting and insight across key treasury entities. Gain exposure to complex funding structures and senior stakeholders, supporting forecasting and shaping Treasury disclosures at a global level.
The role of FIS Integrity Consultant (12 Month FTC) focuses on providing expertise and support in the implementation and maintenance of FIS Integrity systems within the property industry. This position is based in London and requires a strong background in accounting and finance systems.
The Treasury Manager will oversee treasury operations, ensuring effective cash flow management, risk mitigation, and compliance within the Energy & Utilities industry. This role is based in Glasgow and offers a permanent opportunity for a skilled accounting and finance professional.
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 Business Controller will take ownership of financial analysis, planning and business partnering across a diverse portfolio of professional services companies. Your work will directly influence decision‑making at CEO, CFO and Group leadership levels.
The Finance Manager will oversee financial operations, ensuring accurate reporting and compliance within the manufacturing sector. This role requires strong technical expertise and a proactive approach to managing accounting and finance functions.
This role is responsible for leading all UK financial and back‑office operations, ensuring strong financial control, accurate reporting, and effective oversight of HR, IT, procurement, and office functions. It is a hands‑on leadership position suited to a qualified finance professional who can balance strategic responsibility with day‑to‑day delivery in a growing, internationally connected business.
This Senior Analyst, FP&A role supports strategic decision‑making across a fast‑growing, institutionally backed renewables and infrastructure platform, with responsibility for planning, forecasting, valuation and capital allocation. The position partners closely with investment and development teams, combining core FP&A with deal‑driven analysis to optimise performance across a diverse portfolio.
Support the company's financial planning and analysis processes, with a focus on working capital management, cash flow analysis, project feasibility assessments, and Zero-Based Budgeting (ZBB).The role also contributes to the preparation of high-quality financial insights and materials for senior leadership and Board-level review in a fast-paced, international environment
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