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The Financial Controller will oversee the day-to-day financial operations, ensuring accurate reporting and effective management of resources to support the organisation's goals. This role is based in Cambridge and plays a key part in maintaining financial stability within the not-for-profit sector.
This is an exciting opportunity for an experienced Interim Head of Estates Finance to lead and manage Financial Transformation within the estates arm of a prestigious university. .
This is an excellent opportunity for a Corporate Tax Manager to join a professional services firm in Cambridge. The role focuses on providing expert tax advisory and compliance services within the accounting & finance department.
This role involves managing the day-to-day accounts payable tasks, ensuring sales invoices are processed accurately and on time to keep the finance operations running smoothly. Based in Cambridge, you'll play a key part in supporting the Life Science industry with your accounting expertise.
This Finance Director / Head of Finance role in Berkshire for a multi-sire business takes full responsibility for the finance function.
As a Financial Accountant in London, you'll handle the day-to-day financial reporting and ensure accurate accounts for a not-for-profit organisation. This role is vital in helping the organisation maintain compliance and make informed financial decisions.
As a Finance Administrator in London within the financial services industry, you'll handle a range of tasks to support the smooth running of the accounting and finance department. From managing invoices to assisting with reconciliations, your work will play a key role in keeping operations on track.
The AP Accountant role within the financial services industry focuses on managing accounts payable, ensuring accuracy, and maintaining compliance with company policies. This permanent position is an excellent opportunity to contribute to a professional accounting and finance team.
The Accounts Assistant will support the finance function, assisting with reconciliations, accurate record‑keeping, and financial reporting while ensuring strong controls and regulatory compliance.
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