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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.
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 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.
The QC Analyst role is essential in ensuring the accuracy and consistency of onboarding files that have been escalated by our Client Onboarding Specialists.The ideal candidate will have strong experience reviewing complex, high‑risk client entity structures-including Trusts, Funds, SPVs, Offshore Entities, and other enhanced‑risk arrangements-and will be confident applying a rigorous, risk‑based approach to quality assurance.
This is an exciting opportunity for a Project Accountant - FP&A to support financial planning and analysis within a financial services environment. This is a 6-month contract and will be based across the businesses' London and Leicester offices.
The role of Project Accountant - Consolidations requires expertise in managing financial consolidations and ensuring compliance with accounting standards within the financial services industry. This is a 6-month contract role between the businesses' London and Leicester offices.
The Financial Controller will oversee financial operations, ensuring accurate reporting and compliance across a Wealth Management environment. This temporary role in based across London and Leicester.
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.
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.
The Compliance Manager will oversee regulatory frameworks and ensure adherence to industry standards within the pensions sector. This role is based in Manchester with occasional travel to Carlisle and requires a detail-oriented individual to manage compliance and risk effectively.
We are seeking an FPnA Senior Analyst to join a leading FinTech organisation in the FS industry. This role involves analysing financial data to provide insights, support decision-making, and drive business performance.
The diverse position, VP Finance, sits across ownership of month end management accounting, statutory reporting (frs 102), leading fp&a and vizualisation of p&l, and regulatory reporting (icara / fca).
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.
Play a critical role in assessing counterparty risk, managing credit exposure, and supporting trading and clearing operations across exchange-traded and OTC derivatives in a dynamic environment.
This Management Reporting Contract role in the financial services industry involves overseeing and delivering accurate and timely management reporting. The position is based in London and will require a strong understanding of banking and financial services.
The Head of FP&A will lead financial planning and analysis activities, ensuring strategic and operational goals are met within the financial services industry. This temporary role is based in London, offering a challenging opportunity to make a significant impact within the accounting and finance department.
Join a prestigious organisation in the financial services industry as a Management Accountant. This fixed-term contract offers an exciting opportunity to contribute to the accounting and finance department with your expertise in financial reporting and analysis.
The Senior Finance Manager role within the banking and financial services industry is a senior-level position focused on overseeing financial strategies, planning, financial statements, reg reporting and controls. This permanent opportunity is ideal for a finance professional with experience in a lending house or bank.
Join an exciting role as a Graduate/Junior Accountant in the financial services industry. This temporary position based in London offers a fantastic opportunity to develop your accounting and finance skills.
This role is a high‑exposure, strategically embedded investor relations role working directly with the executive team on capital markets strategy, financial storytelling, and engagement with global investors and analysts. You will operate with autonomy in a lean, delivering high‑quality outputs from the outset and positioning themselves for potential near‑term succession into a broader VP‑level remit.
This temporary role as an Accounts Payable Specialist - Oracle Implementation in the financial services industry requires expertise in managing accounts payable processes and Oracle system implementation. The position is based in London and offers an excellent opportunity to contribute to a reputable organisation.
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.
The Senior Director, Head of CQF Institute will lead the strategic direction and operational management of the CQF Institute, ensuring its continued success within the Banking & Financial Services sector. This role is based in London and requires a proactive leader with expertise in the not-for-profit industry.
The Operational Risk Team Lead will ensure the successful operation of the Bank's control framework. The role holder will report directly to the Head of Compliance and will require strong English and Mandarin skills as there will be regular reporting of KRIs into the Group Head Office.
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.
The Corporate Banking Manager will oversee client portfolios, ensuring comprehensive banking and financial solutions are delivered to local businesses. You will be a well rounded Banking Manager covering everything from prospecting, to writing credit proposals, to drawing down loans and Relationship Management!
Support the firm's commodities trading activities by evaluating the creditworthiness of counterparties, monitoring exposures, and ensuring risks are effectively managed across both physical and derivatives transactions.
This is an exciting opportunity for a Tax Accountant to join a professional team in Andover. The role requires expertise in tax compliance and advisory to ensure the organisation meets its obligations effectively.
This role involves running and market-making OTC and exchange-traded LME base metals derivatives books, as well as proprietary trading across the broader base metals complex. You will work closely with clients, risk managers, and clearing teams to deliver competitive pricing, manage risk, and optimize trading strategies in a fast-paced environment.
A permanent opportunity for an experienced German speaking, Transaction Banking Relationship Manager to drive client acquisition, relationship development, and payments solutions for international corporate clients. This role offers autonomy, cross‑border exposure, and the chance to influence digital, innovative cash management offerings.
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