We're aware of a global phishing scam impersonating employees via email, WhatsApp, and Telegram, but no PageGroup systems have been breached. Find out how to protect yourself
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.
We seeking a driven and determined self-starter to join our clients Group Treasury team in a diverse Treasury Analyst position. The perfect candidate should excel in a demanding, high-speed setting, demonstrate a strong work ethic, and possess the ability to work both independently on tasks and collaboratively within a dynamic team.
The Treasury Manager will play a pivotal role in managing the company's financial assets and investments, contributing to the overall financial strategy within the energy and natural resources industry. This role is based in London and requires a proactive professional with a strong knowledge of cash forecasting, debt management, FX and liquidity management.
A Head of Treasury role offering an exciting opportunity to build and lead the treasury function for a rapidly expanding, Private Equity-backed global manufacturing business. Based in London, you will play a pivotal role in shaping treasury strategy, overseeing cash and liquidity management, and supporting the company's ambitious growth across Europe.
The Treasury Manager will oversee daily treasury operations, including cash management, forecasting, and risk management, while driving continuous improvements in processes and systems. This role offers a unique opportunity to contribute to strategic financial initiatives and lead a team within a dynamic, global organisation.
To lead the Treasury and Business planning function, ensuring that organization has the financial capacity to deliver upon its strategic objectives. This role will partner and work in collaboration with the Financial Controller and the Lead Finance Business Partner, as well as with colleagues from across the business; embedding strong financial management throughout the business
An exciting career growth opportunity has arisen for a Treasury Manager to oversee the treasury operations and manage crucial banking relationships. This is a key role within the finance team, where you will ensure effective cash management and financial stability while leading a Treasury Assistant. If you're looking for an opportunity to make a significant impact in the energy sector, this could be the perfect role for you!
An entry-level Treasury Analyst role has arisen within the Accounting & Finance department of a FTSE100 manufacturing company located in Birmingham. The position requires a diligent professional who can handle financial matters, including cash management, risk analysis, and reporting.
This is an exciting opportunity for a Treasury Analyst to support the EMEA Treasury Manager in managing treasury operations, including cash flow forecasting, month-end accounting, and FX management. You will ensure optimal treasury risk management for the UK and broader EMEA region.
INTERIM TREASURY ANALYST - MULTI-NATIONAL RETAILER - 12 MONTH CONTRACT
Responsible for overseeing the cash management of our client's global Nostro network, ensuring that reporting and escalations are completed accurately and promptly.
A Senior Treasury Analyst opportunity that offers a path to leadership opportunities. You will collaborate with teams worldwide, gaining valuable international exposure while driving critical financial decisions, influencing the company's liquidity, and funding strategies.
This Senior Treasury Analyst position calls for a highly analytical candidate with a strong interest in developing themselves across a broad spectrum of treasury tasks and responsibilities. The role requires a strong understanding of accounting principles, financial reporting, cash management and forecasting.
INTERIM HEAD OF TREASURY OPERATIONS - HOUSING ASSOCIATION - MIDLANDS BASED
Pensions & Treasury Accountant£450 a day
The Senior Treasury Manager will lead a small team, overseeing regional banking relationships, cash management, and treasury processes across EMEA, while collaborating with global financial teams to drive strategic initiatives. This role is crucial for enhancing financial risk management, optimising working capital, and ensuring robust internal controls.
A Treasury & Tax Analyst is needed to offer vital support to the Accounting & Finance department within a not-for-profit organisation. The role involves managing treasury operations, tax planning and compliance.
Lead on developing and implementing funding strategies, conduct risk assessments, perform credit applications execute forex and interest rate activities.
Reporting into the Head of ALM you will have responsibility for Liquidity and IRRBB Risk as well as counterparty and market risk as the business works towards it's ambitious growth targets.
Contract role for a Risk Manager to cover Liquidity Risk, IRRBB risk, Market Risk and Counter party Risk.
Responsible for overseeing the day-to-day cash and liquidity management of the business, ensuring effective and efficient treasury operations in line with agreed policies and procedures.
Our client is looking for a Treasury Risk Manager, reporting into the Head of Treasury in London. The successful candidate will oversee treasury operations and treasury risk management (liquidity & market risk mostly).
Treasury Dealer role available in a leading bank located in London. This position requires a professional with proficient skills in ALM and a desire to develop their career in Treasury front office.
This role is key to managing the bank's capital. The ideal candidate will have a strong understanding of ICAAP development, stress testing and prudential regulation.
The Trade Finance Analyst will be an integral part of the Treasury group within the Energy & Natural Resources industry. They will partner with the other Treasury teams in Europe, providing primary Treasury support for business units in the region covering Midstream and Downstream business units; along with International Upstream, partnering with the business to grow.
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
My client is looking for a dedicated and detail-oriented Liquidity Risk Manager to work as part of a well regarded ALM team.
Manager - Prudential Risk and ESG Oversight
The Senior Accountant will be involved in the full spectrum of responsibilities required to support fund and SPV level accounting, reporting and treasury management across our Private Equity, Infrastructure and Private debt clients.
In this key role, you will spearhead the finance business partnering team, ensuring robust and productive relationships between finance and stakeholders. You will support the housing directorate while overseeing all directorates, working closely with the Financial Controller and Treasury & Financial Planning Lead, along with colleagues from various departments
Create a job alert to receive Treasury England 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.