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The Finance Director will take the lead on all financial operations, ensuring the smooth running of budgeting, forecasting, and strategic planning. Based in North East London, this role is crucial in supporting a growing technology business by providing financial insights and driving business performance.
As an Interim Head of FP&A in the technology sector, based in London, you'll oversee financial planning and analysis to support key business decisions. This temporary role involves managing budgets, forecasts, and financial models to ensure the organisation runs efficiently and effectively.
This is a rare opportunity to join a successful and ambitious business at a key stage of its growth journey. You'll work closely with an experienced CFO, gain exposure to strategic decision-making and M&A activity, and have the opportunity to broaden your remit into a well-rounded Head of Finance role as the business continues to expand.
The Head of Financial Strategy will oversee financial planning and provide strategic direction to support the organisation's objectives.
As a Market and Liquidity Risk Business Analyst you will support a range of Market Risk and Liquidity Risk initiatives within a global investment banking environment. The role will involve working closely with Risk, Treasury, Finance, Front Office and Technology teams to deliver regulatory, strategic and system change programmes.
We're working with a financially strong, market-leading organisation to recruit an Internal Audit Manager into a highly visible and autonomous position. This is an opportunity to move beyond traditional audit delivery and play a key role in improving processes, embracing technology and supporting the organisation's wider value creation strategy.
This senior finance leadership role is responsible for financial reporting, control, consolidation and governance across a complex international group operating through multiple entities. The successful candidate will lead a finance team, strengthen reporting standards and provide insight to senior stakeholders while driving process and control improvements.
Working closely with the CEO and other team on terms of overall accounting, finances, budgets, purchases and expenses. Resolve any issues that arise with the appropriate internal teams and CEO to ensure financial security, strategic analysis of financial performance, advising the senior management on these findings and implementing recommendations to achieve the most profitable results for the business.
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