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This role is responsible for the diligent management of the assigned program/s including client servicing, service delivery, exceptions processing, program monitoring and risks reporting.
Being part of the Finance Pricing, monitoring compliance with company pricing policy and providing clear and accurate financial information to management and sales leaders for informed decision-making
RTR Operation Manager to join our new and growing Global Business Services. The successful candidate will manage a team with 20-30 staffs (both direct & indirect) and oversee the operational delivery of RTR scopes in more than 15+ countries in APAC, Europe, US region entities
A team lead with strong experience in end to end AP
The R2R Accountant plays a crucial role in ensuring the accuracy, completeness, and compliance of financial reporting for the organization. This position involves managing the entire Record to Report process, from recording financial transactions to preparing financial statements in the Japan legal entity.
Support in an accurate and timely way the monthly, quarterly, hard-close and year-end-financial closing forthe entity or entities in the region (including dependent on role split Financial Reporting, Fixed AssetAccounting, General Ledger Accounting, Inter Company Accounting, Treasury Accounting, Period CloseActivities, Statutory and Tax Reporting)
The Senior Analyst, GL & Reporting is responsible for the Fixed Asset Accounting, General Ledger, and Reporting, along with other duties.
The General Ledger Team Lead is responsible for supervising and coordinating the day-to-day operations of the general ledger accounting team, ensuring accurate and timely recording of financial transactions and adherence to accounting principles and standards. They also collaborate with other departments to streamline processes, resolve issues, and support the preparation of financial reports for management and external stakeholders.
To review new and amended credit agreements, whether it be for syndicated transactions where the company is acting as Administrative Agent, where the company is a participant in a deal where another financial institution has been mandated as Administrative Agent, or bilateral deals directly with the borrower.
You will be responsible for all General Ledger tasks and carry out General Ledger duties for other locations. Accuracy, efficiency and a focus on continuous improvement are essential for this role.
The GBS teams manages General Ledger and Consolidation activities. It is an expanding and evolving team which encourages continuous improvement and people development. The team is responsible for completing an efficient and compliant end to end RTR cycle for all stakeholders.
Reporting to the Record-to-Report Manager, the GL Lead is responsible for managing the GL Controller team, providing GL services to their respective entities and providing the thought leadership to drive improvements and being accountable for superior customer service.
This role will be responsible for ensuring the accuracy and integrity of general ledger transactions, performing reconciliations, and adhering to financial policies and procedures.
This role involves offering support in general ledger transactional processing for the delivery of general ledger, treasury, bank reconciliation, and bank journals to both APAC and North America.
The role involves overseeing various financial and accounting responsibilities, including fixed asset accounting, general ledger activities, and reporting
This role is responsible for overseeing a team of 15-20 team members and managing the operational delivery of OTC scopes across 3 different regions.
As a Vendor & Customer Master Data Analyst, the successful candidate will contribute to the accurate and efficient management of critical data processes. Be part of a growing team where you can learn from the best, gain exposure to international environments, fostering cross-cultural collaboration and providing a platform for professional growth.
Provide General Accounting & Reporting services to customers following established Financial Reporting processes and work procedures, ensuring adherence to GBS policies & guidelines, Internal Control requirements, and local company legal and statutory requirements.
You will play a vital role in managing Account Payable processes, adhering to established policies and procedures. This position requires strong attention to detail, analytical skills, and the ability to collaborate with various stakeholders.
The Management Reporting Manager for our Shared Services Center/Global Business Services (SSC/GBS) is a critical role that plays a pivotal part in ensuring accurate, timely, and insightful reporting and analytics to support the decision-making processes within the SSC/GBS organization. This position requires a candidate with strong financial acumen, exceptional analytical skills, and the ability to work collaboratively with cross-functional teams.
Reporting to the GL Lead, the GL Controller is responsible for managing a GL Ledger profile. A team of Senior Accountants / GL Accountants / GL Assistant Accountants will be reporting to the GL Controller.
GL accountants ensure that an organization's accounting information and practices are accurately reflected. They gather and verify the accuracy of financial data, check journal entries, and reconcile accounts. They may be fulltime employed or work as consultants in a wide variety of settings.
You will play a vital role in managing end-to-end PTP processes, adhering to established policies and procedures. This position requires strong attention to detail, analytical skills, and the ability to collaborate with various stakeholders.
Primary focus will be on Statutory Reporting, Balance Sheet Governance, Direct and Indirect tax support, Cash Agenda, Transfer Pricing and FCF (Financial Control Framework). You will be supporting one or more markets and get along with other Finance colleagues including CFOs, Country Business Partners and MC Controller.
This candidate required to work on management of Fixed asset and Inventory
This role involves overseeing bank reconciliations, ensuring compliance with APCI policies and procedures, and fulfilling audit and SOX control requirements
The Intercompany Team Lead will oversee and direct the daily operations of the intercompany accounting team. They will ensure the timely and accurate processing of intercompany transactions and reconciliations, monitor dispute resolutions, and maintain compliance with company policies and regulatory requirements.
Senior Specialist, Process Optimization role with a Global Shared Service Centre that provides Finance, Procurement, HR and IT functions to global markets including APAC, EMEA, US.
Looking for an experienced and enthusiastic Reporting Analyst to join our Shared Service team.
Business Analyst in FP&A role for a Pharmaceutical GBS located in PJ.
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