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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.
Play a key role at the centre of Group Finance, delivering high-impact statutory reporting and insight across key treasury entities. Gain exposure to complex funding structures and senior stakeholders, supporting forecasting and shaping Treasury disclosures at a global level.
Support cash forecasting, liquidity management, and cash pooling activities, while monitoring daily cash positions, processing treasury transactions, and contributing to accurate reporting. Assist across Treasury operations, governance, and digital initiatives, including bank relationship management, transaction execution, compliance reporting, and driving process improvements through automation and system enhancements
The Corporate Finance Manager will assist the Head of Corporate Finance in managing all corporate finance matters, including advising on and delivering funding requirements across local, regional, and central functions.
Reporting to the President for the business, we are seeking an experienced and strategic CFO to join our leading, consumer goods client. This hire plays a crucial role in financial leadership, strategic decision-making, and investor relations.
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 Senior Financial Accountant will directly support the Head of Finance.
This is an exciting chance to step into a newly created role for a high-growth, international retailer. You'll take ownership of critical treasury operations including cash flow forecasting, cash management, strengthening financial controls, and safeguarding risk across a retail environment.
The Group Accounting Manager will oversee the financial reporting and consolidation processes within the Renewable Energy business. This role requires a detail-oriented professional to ensure compliance with accounting standards and provide valuable insights to support strategic decision-making.
The Assistant Management Accountant will play a key role in supporting financial operations for a large, global supply chain & manufacturing business in Central London. This is a great opportunity for a part-qualified accountant to move into a more progressive environment in a business that prides themselves on their training & development.
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