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The regional accountant is responsible for managing financial transactions, preparing financial reports, and ensuring compliance with local regulations within a specific geographic area. This role involves overseeing the financial activities of multiple locations and collaborating with various stakeholders to maintain accurate and efficient accounting processes.
As a finance manager, your responsibilities include overseeing financial reporting, budgeting, and forecasting processes to ensure accuracy and compliance with regulatory requirements. Additionally, you'll provide strategic financial analysis and recommendations to support decision-making and optimize financial performance within the organization.
Our primary focus will revolve around Statutory reporting, ensuring Balance Sheet integrity, managing Cash Agenda, overseeing Transfer Pricing, and maintaining the Financial Control Framework. You'll provide support to one or more markets and collaborate closely with fellow Finance professionals
Your 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.
An exciting Senior Manager, Internal Audit opportunity for a market leader in the industry.
This role requires you to be in charge of assisting the Head of treasury in daily and adhoc matters for the company.
Costing analyst evaluates and analyzes the various elements of production costs, price variances, and inventory valuation to ensure accurate financial reporting and advises on cost-effective measures for improved business performance.
In the Financial Planning and Analysis (FP&A), cost control, and reporting role, the individual is responsible for strategically managing and optimizing financial resources through budgeting, forecasting, and implementing cost control measures.
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.
Business Analyst in FP&A role for a Pharmaceutical GBS located in PJ.
This role will mainly run the General Ledger activities for the Europe Region. Working Hours: 2pm to 11pm (shift Allowance will be provided)
FP&A (Financial Planning and Analysis) Analyst is a finance professional who plays a critical role in a company's financial management. Their primary responsibility is to analyze financial data, develop budgets, forecast future financial performance, and provide insights to support strategic decision-making.
The Tax analyst's main responsibilities include overseeing and leading the tax and fiscal affairs for the business. You will support the tax manager on managerial decisions through tax compliance and tax filing.
You'll be involved in driving a sizeable team, involved in management and strategies for the business.
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