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We are seeking an experienced Finance Director to lead financial operations, ensuring accurate reporting, strong controls and commercial insight. This hands-on role is ideal for someone who thrives in a growing SME and wants to influence decision-making, improve processes and support business growth. Based in Thame, with a hybrid working model.
This is an opportunity to join a values-led organisation where collaboration, innovation and continuous improvement are at the heart of decision-making. The successful candidate will play a key leadership role, helping to shape the future direction of the organisation while ensuring operational excellence across a broad portfolio.
The interim Finance Manager will report into a brilliant Finance Director and they will play a key role in overseeing the day-to-day financial operations of the business, ensuring everything runs smoothly and efficiently. Based near Wallingford within the Leisure, Travel & Tourism industry, this interim role will focus on managing budgets, preparing reports, Balance sheet reconciliations, year end and supporting financial decision-making.
As a Finance Manager in the retail industry, based in Maidenhead you'll take charge of overseeing financial operations and ensuring the smooth running of the accounting processes. Your role will help the business maintain financial accuracy and support key decision-making.
This is a hands-on Accounts Receivable Manager position responsible for overseeing the end-to-end receivables process, driving cash collection performance, and ensuring accurate financial reporting. The role will focus on improving processes, reducing aged debt, and working closely with internal stakeholders to support strong cash flow and operational efficiency.
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.
As a Manager in Treasury Systems Advisory, you'll lead the way in providing expert advice on treasury systems within the professional services sector. You'll play a key role in helping clients optimise their financial operations and ensure smooth system implementation and management.
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