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We are seeking a Vice President to join the Distribution Risk Management team, playing a key role in developing and evolving risk frameworks for loan underwriting and distribution activities across EMEA. This is a strategic position offering engagement with global stakeholders and involvement in high-impact projects.
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.
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.
This Big 4 firm offers deep treasury expertise in financial products and markets, risk management, systems, governance, valuation, and accounting.
The Director of Finance role at Butterfly Conservation is a senior leadership position responsible for shaping financial strategy, governance, and risk management while driving transformational change across finance systems and processes. Reporting to the CEO, you'll lead a team, influence Board-level decisions, and play a key role in delivering the charity's mission to protect biodiversity.
The Regulatory Management VP will oversee and manage regulatory requirements within the Banking industry, ensuring compliance and effective risk management within the Accounting & Finance department. This permanent role offers an exciting opportunity for a detail-oriented professional to contribute to organisational success.
As Middle Office Treasury Manager, you'll connect Front and Back Office, oversee covenants, streamline trade finance, and support liquidity and risk management. Working alongside the Head of Group Treasury, you'll help optimise financial performance in a private-equity-backed, LBO environment where value creation and transformation are key.
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.
Seeking a diligent and detail-oriented Finance Manager. The ideal candidate will excel in managing financial planning, risk management, and financial reporting.
This role leads the implementation of CDM regulations and health, safety, and environmental standards across construction projects, ensuring compliance and risk management from design through to completion. It involves strategic oversight, stakeholder coordination, regulatory liaison, and the development of safety culture and training within the organisation.
The UK Risk Manager will oversee risk management processes and ensure compliance within the Energy & Natural Resources industry. This role is based in Leeds and requires a strategic thinker who can evaluate and mitigate risks effectively.
The role of Credit Controller involves managing credit control activities within the retail industry, ensuring efficient cash flow and credit risk management. Based in Andover, this temporary position offers an opportunity to contribute to the success of a leading accounting and finance team.
Leading on 1,500 properties in Exeter providing effective leadership to the Property Services Team, overseeing all aspects of customer-focused and cost-effective asset management and maintenance strategy and operations. Effectively and proactively manage strategic and operational risks associated with asset management, including the health and safety.
As Vice President - Liquidity Risk Management, you will be a key contributor within the second line of defence, driving the identification, assessment, and oversight of liquidity risk across the bank. This is a high-impact role requiring strong technical expertise, deep familiarity with ILAAP, and proven influencing skills to challenge and partner with senior stakeholders across Treasury and Risk.
As a Senior IT Analyst you will be responsible for working within the Group Internal Audit (GIA) team to provide independent and objective assurance to the senior management teams, the Board and the Audit Committee on the effectiveness of risk management, control and governance processes.
The Global Treasury Manager will oversee and optimise treasury operations within the property sector, ensuring efficient cash management and financial risk mitigation. This role is based in London and offers a permanent opportunity for a skilled accounting and finance professional.
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