Browse our jobs and apply for your next role.
Reach out to us or discover some great insights that could help you fill your next vacancy.
PageGroup changes lives for people through creating opportunity to reach potential.
We find the best talent for our clients and match candidates to their ideal jobs.
Regulatory Reporting Controller AVP
Technical and Statutory Reporting ManagerDublinAnnual Reporting, Month End, Quarter End Financial Reportign owner;Technical Accounting IFRS
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.
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
We are seeking a skilled Legal Cashier to join a professional services team in Glasgow. This role requires expertise in accounting and finance to ensure accurate financial transactions and compliance with relevant regulations.
The Treasury Manager role offers a range of responsibilities including liquidity management, debt facility operations, FX hedging, and driving treasury transformation initiatives.
This AVP role focuses on the credit review and challenge of new leveraged finance transactions while managing a portfolio of leveraged loans. The position requires strong analytical skills, stakeholder engagement, and the ability to work very closely with front office.
As a VP you will lead complex infrastructure financings and blend deal execution with strategic portfolio oversight. An opportunity to take ownership of high-profile transactions across Data Centres, Fibre Networks, Telecom Towers, in a team that values agility, innovation, and impact. You'll gain full visibility across the deal life-cycle and contribute to financing the backbone of Europe's digital economy.
This is an excellent opportunity for an Internal Auditor at Manager to VP level.This role as the Internal Audit Manager will directly assist the Head of Business Audit, leading and delivering audits across Finance, Capital, Conduct, Liquidity and Operational risk.
The Interim Compliance Lead will oversee compliance activities within the Risk & Compliance department, ensuring adherence to regulatory requirements in the financial services industry.This role is a fixed-term contract and requires a detail-oriented professional with expertise in compliance management.
Portfolio Management of new financing transactions aswell as the ongoing management of existing real estate investments. The team has strong expertise across student housing and build-to-rent (BTR) developments.
As a Credit Risk Manager, you will be carrying out Second-line review of proposals (Debt, Equity and Guarantees) and maintaining a good balance between return and risk exposure. This includes second-line input into the Early Engagement Committee and Investment Committee.
The Head of invoice finance will lead and manage the factoring operations within the financial services industry, ensuring efficiency and compliance with regulations. This permanent role, based in Basingstoke, offers a rewarding opportunity to shape and optimise processes within the accounting and finance department.
A leading mortgage firm
This front-office role offers exposure to sovereign and corporate debt across emerging markets, as well as related derivatives. The successful candidate will support trade execution, market analysis, and risk management, contributing directly to the fund's performance in dynamic and often volatile markets.
We are seeking a motivated Junior Trader/Analyst to join a thriving financial services team within the banking and financial services sector. This role requires a keen analytical mind and a passion for financial markets to contribute to trading operations in London.
Lead the implementation of the global liquidity management strategy, focusing on London and regional coordination. Oversee cash flow reporting, stress testing, and regulatory compliance while collaborating with teams across multiple regions to maintain strong liquidity frameworks.
This is an exciting opportunity for a Treasury Risk (Capital) professional to join a leading UK based bank. The role is based in London and focuses on supporting key initiatives within the Accounting & Finance department.
The Junior Account Manager will support the sales department by fostering client relationships and managing accounts within the professional services industry. This role is ideal for a motivated individual looking to grow their career in account management in Guildford.
We are seeking an experienced Prudential Risk Specialist to join a leading firm in the financial services industry. This temporary role in London involves supporting the accounting and finance department with regulatory risk management and compliance.
The role of Product Control Lead within a world class CIB involves managing product control processes and automating processes from present manual ones. This position is ideal for a skilled derivatives knowledge looking to take ownership of an ambitious derivatives business permanently
We are seeking an experienced Interim Finance Assistant to join a property-focused organisation in London. This temporary role requires expertise in accounting and finance to support the department effectively.
We are seeking a skilled Record to Report Banking Manager to join the Accounting & Finance team within the Leisure, Travel & Tourism industry. This permanent role is based in Glasgow and offers a fantastic opportunity for a professional to manage financial operations effectively.
We are seeking a proficient Credit Risk Manager, who will manage the second line challenge and review of complex bespoke infrastructure transactions with the Fund, providing debt, equity or guarantees to ensure compliance in line with risk appetite, working closely with origination teams and senior stakeholders.This role is based in Leeds for 3 days a week, with 2 days WFH option.
The Compliance Associate will support the Risk & Compliance department in ensuring adherence to regulatory requirements within the financial services industry. This position is based in London and involves monitoring compliance frameworks and offering guidance to internal teams.
The Director / Senior Director - Business Relationship Management (BRM) will oversee and expand relationships with Nordic corporate clients in the financial services industry. This role is based in London or Stockholm and requires strong relationships with bankers, arrangers and issuers. Fluent Swedish
We are seeking an experienced Fixed Assets Accountant to join our finance team on a six-month contract based in Canary Wharf. This newly established role is critical to supporting the government's accounting requirements for the 2025/26 financial year, specifically focusing on the revaluation of fixed assets in compliance with HM Revenue & Customs guidelines.
This leading Arm's Length Body (ALB) is currently looking to recruit a Qualified Accountant for a Business Finance Manager role. The position will allow the successful person to join the finance leadership team and oversee all aspects of Accounts Payable/Accounts Receivable and cash flow reporting.
This is a 12 month contract position as a Trading Analyst within a Global Oil and Gas company, requires a motivated individual to support trading activities and contribute to the financial success of the department. Based in Canary Wharf, you'll play a key role in analysing market data and ensuring effective decision-making.
Support the Investor Relations team to help them stay organised in a busy private equity office. This role requires excellent organisational skills and a proactive approach to ensure smooth day-to-day operations.
Create a job alert to receive Financial jobs via email the minute they become available.
Submit your CV to register with us and we will contact you if a suitable role becomes available.