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We are seeking a Treasury Analyst to be a key player in supporting our clients Treasury operations within the Finance department. The ideal candidate should be adept in managing and developing cashflow activities, ensuring the company's financial security within the Energy & Natural Resources industry.
This is an opportunity to join a dynamic and internationally recognised organisation, where you'll play a key role in shaping the Group Treasury function during an exciting period of growth and transformation. With exposure to global operations and the chance to drive meaningful change, this role is perfect for an ambitious professional looking to elevate their career in a fast-paced, collaborative environment.
We are recruiting a Treasury Manager (Systems & Reporting) who will be reporting to the Head of Treasury. This role will play a key part in shaping the strategy and execution of treasury activities for a major infrastructure project. The successful candidate will take ownership of cash flow and short-term forecasting, while also leading the development of systems architecture to support effective cash management and funding operations.
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.
We are currently recruiting for a Cash Management Accountant with a strong background in Treasury, ready to efficiently manage our clients cashflow and liquidity. The successful candidate will have a keen eye for detail and be adept at financial reporting and forecasting.
A Systems Business Analyst (Reval) is sought for a key role of a leading company in the Transport & Distribution industry. The successful candidate will act as Subject Mater Expert for ION's Reval Treasury Management Solution on system related challenges and changes. You will play a crucial part in optimising business processes and enhancing system performance.
As Deputy Treasurer you will be responsible for managing the bank's assets, liabilities, liquidity, and interest rate risks
My client is looking for a FIS Payment Hub Consultant to join their growing team based in London to assist on the project with their Trax build.
This is a hybrid Treasury Manager role within a dynamic global team, focused on leading front-office treasury operations including cash management, FX execution, and strategic support for M&A activities. The position offers exposure to transformational projects, senior stakeholder engagement, and the chance to shape treasury processes within a high-growth, international business.
My client is looking for an AR Manager to join the finance team and oversee accounts receivable operations, including reporting, collections, and process improvements. The role offers a competitive salary, hybrid working, and the opportunity to work within a dynamic, global logistics real estate company.
This is a hands-on Financial Risk Analyst role supporting FX trading, liquidity investment, and risk reporting within a fast-paced, centralised treasury function. It's an ideal opportunity for someone with strong analytical skills and commercial awareness to contribute to real market activity while driving innovation in tools and reporting.
This international accountancy firm is seeking an Assistant Manager to join their Risk Consulting team in London working with Energy and Infrastructure sector clients.
As a Part-Qualified Fund Accountant, you will play a key role in the delivery of high-quality fund accounting services to their clients. Reporting to a Senior Manager, you will be responsible for assisting with the production of NAVs, financial statements, and supporting documentation across a portfolio of alternative investment funds.
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