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You will assist with a wide range of Treasury related responsibilities, from management of the daily cash and liquidity position, and developing the Treasury policy to advising the business in account structure optimisation.
An ALM Analyst is required to provide quality analysis and reporting for the Accounting and Finance department of a leading Building Society. The role involves financial modelling, risk management, and liaising with cross-functional teams to support strategic decision-making.
A HRBP is sought by a leading Asset Management firm. The role involves supporting the Senior HR Business Partner in managing HR functions for C.100 employees across EMEA and APAC.
This role is a strategic and analytical position, requiring the successful candidate to improve financial models and reporting structures within a smaller yet highly successful bank. The successful candidate will utilise their expertise to drive model validation and risk management strategies in line with regulatory requirements.
The client is looking for a qualified accountant to help implement a performance reporting platform that includes a number of data complexities.
Job Summary of this Fund Accounting Manager role in the Financial Services sector in London: Senior role in a dynamic firm, providing services to high profile Venture Capital and Private Equity clients
The Operational Support position offers a comprehensive two-week training program to broaden your knowledge of finance and requires a detail-oriented, technology-savvy individual capable of providing exceptional customer service within a dynamic market. This is a 3 month Temporary contract and you must be able to commit to these dates to be considered.
We are partnering with a high growth, mission led consumer finance company who are looking to hire a Propositions Manager into their team in the city of London.This is an exciting opportunity for the first Propositions Manager to join and develop the propositions function for the business. Role is hybrid.
We are working with a leading sustainable investment management firm who are looking to hire a Marketing Manager into their team in London.This role is hybrid and they are looking for someone who has some experience with advisory / IFA audiences.
Senior Pension Administrator Retirement ServicesPortsmouth location for a leading Bank
This large well-known manufacturing business are recruiting for an Site Accountant based in their site in Rawcliffe, Goole.
Fantastic new opportunity in Risk Management for a leading Alternatives Investment firm.Role sit in the Risk Management team reporting directly into the Head of Risk.This role will be involved in other areas within the wider Enterprise Risk Management framework, including balance sheet capital, liquidity and fx risk, governance risk and other strategic transactions
Big 4 to Top 20 Audit candidates wanted - Manager, SMExternal Reporting and Technical AccountingDublin - Fully remote working - likely 2 days in office / wk on return
Director or VP level candidates with excellent grasp of Regulatory Policy and Reporting Rules for the European Regulator, Central Bank of Ireland, PRA et al are invited to apply for this Regulatory Reporting Control position.Specific knowledge of FinRep and Statistical reporting will be key.
Director or VP, Regulatory Reporting Controller - DUBLIN
Tax Accountant - Dublin - Capital MarketsDublin City Centre based, hybrid working (3 days weekly in office), Banking & Financial Services CIB org
KYC & QC Analysts required to help support with end of year remediation and ongoing screening of new clients.
The role of Collections/Recoveries Account Manager will manage a portfolio of litigation cases within the recoveries function. The successful candidate will have collections experience and have technical expertise an all areas of the collections and recoveries process.
This role requires a highly skilled Risk and Control SME to assess controls and risk across the IT systems used for Financial Reporting.
Working as an Assistant Management Accountant for a Bank in London. The ideal candidate is actively studying their ACCA/ CIMA qualification and has Financial Services experience (please still apply if you do not have Financial Services experience).
The role will involve you leading the development and maintenance of cash forecasting, executing different types of payments, liaising with banks & financial intuitions, etc. You will also be given significant opportunity to add value through extensive collaboration with senior stakeholders from various departments.
We are exclusively recruiting a Deputy Group Treasurer in a newly created role within the treasury team to support the Group Treasurer with financing, helping to shape the team and delivering against company targets
An exciting opportunity has arisen for a Financial Accountant within the retail industry. The ideal candidate will be responsible for handling all accounting matters, including financial reporting, tax planning, and budget forecasting.
We are seeking a meticulous and dedicated Accounts Payable Team Member to join our Accounting & Finance Department. The ideal candidate will be adept at handling all aspects of accounts payable.
We are seeking a detail-oriented Hedge Accountant AVP with a strong grounding in the financial services CIB industry (Retail Banks also work). The role requires in-depth knowledge of accounting principles [former IAS 32/39 - IFSR 9 Impairments], hedge accounting standards, and regulatory requirements, combined with any MI and Reporting.
This role will be a combination of transactional duties (accounts payable/receivables) along with month-end focused tasks. This would suit someone part-qualified looking for support to achieve their full qualification within a dynamic, growing organisation.
The Operational Support Short-Term (full time) position Fully on site Monday-to-Friday in central Leeds, offers a comprehensive training program to broaden your service experience and requires a detail-oriented, technology-savvy individual capable of providing exceptional customer service / administrative support within a dynamic market.
Responsible for overseeing the cash management of our client's global Nostro network, ensuring that reporting and escalations are completed accurately and promptly.
An exciting opportunity has arisen for a diligent Compliance Officer, ideally from an asset management background, to manage and enhance the risk and compliance processes within a reputable organisation. This role is perfect for a proactive individual who can effectively collaborate with internal stakeholders.
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