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The Treasury Analyst will play a critical role in managing cash flow, forecasting, and providing financial insights within the fast-paced FMCG industry. This role is based in Manchester and requires a detail-oriented professional with a strong understanding of treasury operations and financial analysis.
Play a critical role in assessing counterparty risk, managing credit exposure, and supporting trading and clearing operations across exchange-traded and OTC derivatives in a dynamic environment.
Join a specialist credit team responsible for assessing, underwriting, and monitoring lending exposure across Energy, Metals, Mining and Renewables - supporting live transactions and portfolio management across EMEA. It combines detailed fundamental credit analysis and close interaction with both internal and external stakeholders.
We are seeking an FPnA Senior Analyst to join a leading FinTech organisation in the FS industry. This role involves analysing financial data to provide insights, support decision-making, and drive business performance.
Support the firm's commodities trading activities by evaluating the creditworthiness of counterparties, monitoring exposures, and ensuring risks are effectively managed across both physical and derivatives transactions.
Credit Risk Analyst role based in London. You will play a vital role in assessing and managing credit risks, while interacting with both internal stakeholders and external clients regarding energy supply and credit management
Manage credit risk for a portfolio of fund clients while supporting trading across FX, swaps, repo, and equity derivatives. It requires close collaboration with front‑office teams, strong data analysis skills, and the ability to streamline onboarding and monitoring processes to enhance risk management and time‑to‑trade efficiency.
The Credit Risk Analyst will play a vital role in assessing and managing credit risks. This position, based in London, requires a detail-oriented professional with strong analytical skills and a solid understanding of financial services.
Debt Advisory - Analyst
Advising Sponsors and Corporates across capital and debt raising, focusing mainly on LBO's. Working across the transaction life cycle.
We are looking for an experienced Finance Analyst with expertise in financial modelling and experience / strong interest in M&A.
We are seeking a Treasury Analyst to join a leading organisation in the energy sector in London. The role will be a 12 month FTC which involves managing treasury functions and supporting financial operations within the accounting and finance department.
We are looking for a skilled Credit Analyst - AVP/VP to join a team in the Corporate Banking dept. The ideal candidate will assess creditworthiness and provide financial analysis to support informed decision-making - new deals and portfolio monitoring.
The Finance Ledger Business Analyst - Wealth Management will work within the professional services industry, focusing on wealth management projects to support finance ledger transformation and integration.
This Assistant Credit Analyst - 12 mo FTC role is an excellent opportunity for a professional with a strong background in banking and financial services. The successful candidate will be responsible for credit analysis for new and existing deals alongside portfolio monitoring. Broad range of deal types across Corporate and FI.
As a Credit Analyst - Mid Corporates - VP/AVP in the financial services industry, you will focus on evaluating and managing credit risks for mid-sized corporate clients. This permanent position is based in Edinburgh, Leeds or Birmingham, and offers a competitive compensation package.
The QC Analyst role is essential in ensuring the accuracy and consistency of onboarding files that have been escalated by our Client Onboarding Specialists.The ideal candidate will have strong experience reviewing complex, high‑risk client entity structures-including Trusts, Funds, SPVs, Offshore Entities, and other enhanced‑risk arrangements-and will be confident applying a rigorous, risk‑based approach to quality assurance.
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
Support and manage the internal ratings within the Portfolio Management team across leveraged finance, NAV and securitisation portfolios. Ideal for ACCA candidates seeking a structured, analytical first‑line role.
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