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This Finance Business Partner role in Birmingham is a key position focusing on providing financial insights and support to help drive strategic decision-making in a construction business. You'll work closely with senior stakeholders to ensure the financial health and operational success of the business.
The Interim Senior Finance Development Analyst will support the accounting & finance department by providing financial analysis and insights to assist decision-making processes. This temporary role is ideal for individuals with expertise in financial analysis within the construction, real estate or housing industry.
As a Treasury Accountant, you'll play a key role in managing financial operations, ensuring compliance, and supporting the business's financial health. This position is central to maintaining accurate records and providing valuable insights in the financial services industry.
As a Finance Analyst in Hertfordshire within the FMCG industry, you'll play a crucial role in supporting the financial planning and analysis needs of the business. Your work will help ensure the company makes informed decisions by providing clear insights into financial performance and trends.
This leading Logistics & Supply Chain organisation are looking for a Finance Systems / Reporting Developer to join their growing FP&A team. This is an excellent opportunity to play a key role in adopting, developing and enhancing their new Agentic AI enterprise financial planning platform (Pigment) from a technical perspective to support the delivery of high-quality financial planning, forecasting and reporting across the business.
As a Senior Manager Treasury Advisory you will liaise directly with your clients to deliver treasury advisory projects, drawing on your own expertise and identifying when additional input is required from other colleagues and subject matter experts across the business. Your role will include leading business development activities, including with alliance vendors and banks, contributing to the team's growth and success.
This is a newly created role supporting the launch and growth of a custody business focused on cross-border capital markets activity, combining responsibility for CASS-regulated client asset reconciliations with treasury operations across FX and interest rate products. The position plays a key role in ensuring regulatory compliance, operational control and accurate transaction processing within a regulated wholesale banking environment.
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