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The Distribution Accountant is responsible for managing freight costs across 45+ manufacturing and warehousing sites across Europe.
Do you thrive on meticulous analysis and possess a keen eye for detail? If so, a career as a Treasury Accountant might be your perfect fit. Be given the opportunity in analyzing financial data, managing cash flow, supporting the development and implementation of financial strategies.
We are seeking experienced Senior Tax Accountant. In this role, you will be responsible for a broad range of corporate income tax (CIT) and withholding tax compliance functions for group of companies.
Chief Accounting Officer is a key management role that manages the overall financial affairs of the centre and assists the MD on managing the stakeholders of the Shared Service Centre. The Chief Accounting Officer also ensures the implementation of standards and good practices in the management of financial information and reporting of Operating Companies.
Based in our clients KL Accounting Center, you will be supporting the Company's US GAAP financial reporting, working closely with operational and corporate stakeholders in the region.
This role will be responsible for ensuring the accurate and timely preparation of the monthly financial reports for a portfolio of franchised stores. This role is also responsible for managing the workflow and professional development of 1-2 staff based either in head office or the offshore team
Regional Finance Manager oversees financial operations, including budgeting, forecasting, and financial reporting, to ensure the organization's fiscal health and compliance with regulations within SEA. They also provide strategic financial guidance to support decision-making and drive business growth.
To perform all Product Costing activities especially for German sites.
As a Finance Supply Chain Manager, you'll be responsible for optimizing financial processes within the supply chain, ensuring cost efficiency, risk mitigation, and timely financial reporting. Your role involves collaborating with cross-functional teams to develop strategies that enhance cash flow management, streamline procurement processes, and optimize inventory levels to support the organization's financial objectives.
A Supply Chain Finance Assistant Manager supports financial operations within the supply chain, managing cash flow, optimizing financial processes, and ensuring efficient financial transactions between suppliers and buyers. They may collaborate with various departments to streamline operations and implement financial strategies that align with organizational goals.
Our client is a well known global organisation and due to expansion plans they are currently seeking a SSC Finance Service Delivery Manager to be part of the team.
As the Head of Commercial Finance in an FMCG business, their role entails overseeing financial strategies to optimize profitability and growth within the fast-moving consumer goods sector. The position will be leading a team responsible for financial analysis, forecasting, and strategic decision-making to drive competitive pricing, market expansion, and operational efficiency.
This ideal candidate will have a minimum of 10 years of experience in finance or accounting, with a solid background in RTR processes.
As the RTR manager, you will be fully responsible for overseeing RTR team in delivering all aspects of RTR related deliverables, ensuring accuracy, compliance, and efficiency.
The Regional FP&A Manager oversees financial planning and analysis SEA, to develop budgets, forecasts, and financial models, while also providing insights and recommendations to support strategic decision-making across the region.
Responsible for financial reporting and Sales controlling, budgets and forecasts. Ensures business partnership, high quality and timely reporting within framework of ARM (Accounting and Reporting Manual).
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
The Accounts Payable Specialist is responsible for processing invoices, managing vendor relationships, and ensuring timely payments.
The Accounts Payable Specialist is responsible to process invoices, managing vendor relationships, and ensuring timely payments efficiently and accurately.
A regional Accounts Payable specialist manages the end-to-end process of invoice receipt, review, and payment within a specific geographic area, ensuring compliance with company policies and regional regulations. Responsibilities also include vendor management, expense reporting, and collaborating with cross-functional teams to optimise processes and maintain accurate financial records.
Enhancing cash management, facilitating cash flow financing, and serving as a catalyst for investing surplus cash.
The key role of the FP&A Enablement team is to support the business growth agenda by ensuring the right information, is with the right stakeholders at the right time.
As part of the central Operations Finance team, this role is responsible for the day-to-day management and review of the Kerry SAP material ledger.
Looking for a Corporate Tax Compliance Senior Specialist to liaise with local corporate tax teams with regards to tax compliance work.
The role involves leading the accounting team across the Asia Pacific region, ensuring compliance with local and group reporting requirements, participating in strategic decision-making, managing financial reporting, budgeting, and forecasting. The position also requires overseeing statutory reporting, tax compliance, cash flow management, internal controls, and collaborating with local management teams, coupled with a strong emphasis on leadership, organizational skills, communication, and technical proficiency in financial management, taxation, and treasury. The ideal candidate should possess a relevant bachelor's degree or professional qualification in accounting, extensive knowledge in financial reporting and management, and experience in ERP systems and Excel.
Join our clients dynamic team as a Controlling Manager, where you will be a key player in achieving team objectives and supporting the Associate Director in Controlling. In this role, you will lead a dynamic team of 4-5 Business Analysts, overseeing month end close process, statutory reporting, working capital management and internal controls compliance.
Responsible to process invoices, credit note and debit notes from vendors accurately & on a timely manner. Completes payments and control expenses by verifying/reconciling invoices.
Our client is a reputable organisation and due to expansion plans they are currently seeking a Head of O2C to be responsible for managing end-to-end activities of OTC including Billing, Credit Control, Cash Application and Customer Experience.
This role allows you to be leading a sizeable team, to drive the business potentials and also to be involved in the growth of the business.
This role involves creating and upholding the the company's Enterprise Risk Management framework, which covers all significant risk areas within the Group operations. The aim is to protect the interests of shareholders and the company's assets.
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