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The role of Private Banking Manager in the financial services industry involves managing a portfolio of high-net-worth clients, providing tailored banking and financial solutions to meet their needs. Based in Winchester, this permanent position focuses on delivering exceptional customer service while growing and maintaining strong client relationships.
The Corporate Banking Manager will oversee client portfolios, ensuring comprehensive banking and financial solutions are delivered to local businesses. You will be a well rounded Banking Manager covering everything from prospecting, to writing credit proposals, to drawing down loans and Relationship Management!
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.
The Corporate Banking Manager will oversee and grow a portfolio of corporate clients, ensuring tailored financial solutions are provided within the banking and financial services industry. This role, based in Winchester, combines relationship management and strategic advisory expertise to deliver exceptional banking services.
The Corporate Banking Relationship Manager will play a key role in managing and developing relationships with IG Large Cap Corporates. This position involves working closely with clients in London to provide tailored banking solutions and drive business growth.
The role of Transaction Banking Relationship Manager involves managing and developing client relationships within the financial services industry. The successful candidate will play a key role in delivering tailored banking solutions to corporate clients.
This position as a Transaction Banking - Payments - Director requires a seasoned professional to lead and manage payment solutions within the financial services sector. The role is based in London and focuses on delivering exceptional transaction banking services.
A permanent opportunity for an experienced German speaking, Transaction Banking Relationship Manager to drive client acquisition, relationship development, and payments solutions for international corporate clients. This role offers autonomy, cross‑border exposure, and the chance to influence digital, innovative cash management offerings.
A fantastic opportunity to join a high‑performing Transaction Banking function within a Tier 1 Corporate & Investment Bank that is undergoing significant growth across EMEA. You will play a key role driving deposits, enhancing client solutions, and supporting a dynamic build‑out within a front‑facing, strategically important team, with a strong focus on Japanese multinational corporates.
A leading Corporate Bank is seeking a motivated Junior Relationship Manager to support its Relationship Management and Corporate Banking teams. This role is ideal for someone early in their banking career who is looking to build experience in corporate client coverage, credit processes, and front‑office operations within an international banking environment.
A leading international financial institution is seeking a senior business leader to head Business Management and In‑Business Risk within its EMEA Transaction Banking division. This is a pivotal Executive Director role, driving strategic execution, governance, controls, and financial performance across a growing regional business.
The Operational Risk Team Lead will ensure the successful operation of the Bank's control framework. The role holder will report directly to the Head of Compliance and will require strong English and Mandarin skills as there will be regular reporting of KRIs into the Group Head Office.
We are seeking an experienced Financial Anaplan specialist to support FP&A within the financial services sector. This interim role, based in London, requires strong expertise in Anaplan modelling to deliver actionable insights and drive decision-making.
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.
We are seeking a skilled Credit Controller who is fluent in German to join a reputable organisation in the financial services industry. Based inLondon, this role requires expertise in managing credit control processes and ensuring smooth financial operations.
The FIS Integrity Consultant will play a critical role in supporting the property industry by managing and optimising financial systems within a busy accounting and finance department. This fixed-term position, based in London, requires expertise in financial system implementation and operational excellence.
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.
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.
FPandA Senior Manager*50% -- Full PnL, Cashflow, Balance Sheet*Commercial analysis, budget and forecast*50% -- Projects / Systems change, UAT/Test Scrips
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
The Head of Risk will oversee and manage all aspects of risk management across the commodities brokerage, London based role.International firm.Languages skills useful, Chinese or Mandarin.
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.
Equity Exotics Product Control Senior Manager - VP 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.
Actively price and execute FX trades while managing intraday risk across spot, forwards and swaps in live markets. You would work closely with senior traders and sales teams to optimise liquidity, execution quality and desk performance.
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 temporary role as a Group Consolidations - Project Accountant in the financial services industry requires expertise in managing complex financial consolidations and reporting processes. The position in Leicester offers an opportunity to contribute to a key project within the accounting and finance department.
This role focuses on the execution and origination of FX and interest‑rate derivatives arising from corporate lending and financing activity. Working closely with lending and risk teams, you will deliver hedging solutions to UK corporate clients and support revenue growth through lending‑linked derivatives.
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