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We are looking for an experienced Finance Analyst with expertise in financial modelling and experience / strong interest in M&A.
This role offers an opportunity for a recently qualified accountant (ACA or equivalent) to take responsibility for financial reporting across European entities, working collaboratively with regional and global teams.
The Purchase Ledger role in the professional services industry involves managing accounts payable processes, ensuring accurate and efficient financial transactions. This in Stoke-on-Trent offers an opportunity to contribute to the smooth running of the accounting and finance department.
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.
FPandA Senior Manager*50% -- Full PnL, Cashflow, Balance Sheet*Commercial analysis, budget and forecast*50% -- Projects / Systems change, UAT/Test Scrips
The Renewable Energy Insurance Risk Manager will play a crucial role in managing and assessing insurance risks within the renewable energy sector. This permanent position is based in London and offers a competitive salary for a professional in the Insurance Risk, or Renewable Energy Sectors.
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.
This role focuses on ensuring accurate financial reporting within an SME Business Bank. The Financial & Regulatory Accountant will play a vital role in maintaining the Statutory Reporting cycle, high-level regulatory returns (can be learn as template-driven), and involvement within the FPnA side commercial in the Accounting & Finance department.
The role of Financial Accountant within business banking and lending requires strong technical accounting skills (ideally IFRS or GAAP, statutory reporting-led) to manage financial reporting and very high-level regulatory returns. This position is a fantastic opportunity for those looking to contribute to the success of an established organisation within the accounting and finance department whilst being given ample opportunity to develop FPnA skills too.
The role of Risk Manager involves overseeing and enhancing the risk management framework within this Global Investment Management firm.
The Corporate Insurance Manager will oversee the insurance needs of a leading organisation in the Telecoms & Media Agency industry. This role involves managing policies, renewals, claims, and relationships with brokers to ensure comprehensive coverage and risk mitigation.
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.
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.
We are seeking a Treasury Analyst to join a leading organisation in the energy sector in London. The role will be a 12 month FTC which involves managing treasury functions and supporting financial operations within the accounting and finance department.
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.
The interim Head of Liquidity Risk sits within the Group Risk function and is responsible for ensuring the Group effectively identifies, assesses, measures, and manages its liquidity risk exposure. Liquidity Risk is one of the nine principal risk categories faced by the Group.
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.
Equity Exotics Product Control Senior Manager 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.
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
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 role sits within the compliance function and is responsible for overseeing restricted securities controls in support of direct and fund investment activity. The position partners closely with investment teams to ensure adherence to information‑barrier, MNPI and regulatory requirements.
An international banking group is seeking a VP‑level TMT Corporate Research Analyst to deliver independent, forward‑looking industry intelligence across EMEA. The role combines deep sector research, credit monitoring and transactional insight, with significant autonomy and senior stakeholder exposure.
Are you an experienced leader with a passion for compliance and risk from the Crypto & Fintech industry? Are someone who understands TradFi and started your career there, but have moved to the Crypto world in recent years, ideally into Defi? You are based in Europe? Then I am happy to receive your application.
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 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.
This will be a critical role in embedding and enhancing the company's second line risk & compliance function. The candidate will collaborate with the wider business and provide effective and pragmatic compliance and financial crime guidance and support.
Support the growth of large-cap corporate banking relationships, working closely with the Team Head to originate, structure, and execute complex financing solutions. This role offers hands-on exposure to client development, credit analysis, and syndicated and underwritten transactions.
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