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This role supports the Treasury and Financial Planning & Analysis teams of the Society in managing the balance sheet and associated risks. The role involves conducting in-depth reporting and analysis of liquidity, interest rate risk, and capital positions, while also contributing to broader financial analysis activities.
An excellent opportunity for a Treasury Operations Manager to join a well-established, high-growth, business whose Treasury team is evolving; overseeing and supporting 2 more junior team members.
The Treasury Dealer will work alongside with the Senior Treasury Dealer to raise funds and provide liquidity for the UK branch of a European Bank
The Senior Treasury Dealer will take the lead on raising funds and providing liquidity for the UK branch of a European Bank whilst managing one Dealer.
This exciting opportunity calls for a Treasury and Bond Portfolio Manager in the financial services sector, based in Central London, who will manage and optimise the bond and treasury portfolio to maximise returns and minimise risk.
Working for a fast-paced, ambitious FX firm in central London, you'll be working in the Treasury and Settlements team, supporting with bank reconciliations, cash management, FX exposure and payment authorisations.
Our client is looking to hire a Treasury Operations Manager on a 6 Month FTC to assist with the delivery of treasury reports and efficient cash management.
Our client is looking to hire a detail-oriented Regulatory Reporting Analyst to support with the submission of both the ICAAP and ILAAP. This role will report into the Head of ALM, and sit in the organisations growing Treasury team.
This role is pivotal in the Bank's capital management, overseeing asset treatment assumptions for capital requirement calculations, stress testing, and ICAAP updates while supporting future capital strategies.
Junior Product Controller - Associate equiv - loan products
Divisional CFOBanking & Financial Services -CIB
An exciting opportunity for someone to join our financial planning and analysis team. Working with fellow FP&A Manager, business partnering team and head of treasury you will form part of a formidable team providing a range of decision support and performance management services.
The Internal Audit Manager will be required to have good knowledge of the UK and EU regulatory environment and regulations relevant to the capital markets and treasury businesses, and a good understanding of the operational processes and controls supporting capital markets and treasury businesses.
An exciting opportunity has arisen for an ALM Reporting Manager to join a reputable financial services organisation in Lancashire. The successful candidate will leverage their expertise to contribute to the Treasury and Finance function on an 18 month contract.
The role of Operations Officer involves supporting various banking operations, focusing initially on treasury products while also developing expertise across clearing, loan administration, and regulatory reporting. The position requires strong attention to detail, client interaction, and adherence to operational procedures to ensure efficient transaction processing and compliance.
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