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To supports line management, Business Controls and Internal Audit in achieving a positive control posture as it relates to travel & expense reimbursements.
We are seeking a highly motivated and experienced Treasury Manager to lead and oversee all aspects of the company's treasury function. You will be responsible for optimizing our financial resources, managing liquidity, minimizing financial risks, and ensuring compliance with financial regulations. This key role plays a vital part in safeguarding the company's financial stability and supporting its growth objectives.
To supports line management, Business Controls and Internal Audit in achieving a positive control posture as it relates to travel reimbursements.
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.
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.
As the Senior Finance Manager of the team you are responsible to oversee the entire finance department and its daily operations.
You'll be required to oversee and manage key departments covering Finance, HR, Purchasing and IT. You will be responsible for planning, driving and managing all financial-related activities such as budgeting and financial controls and analysis for the business growth plans.
The Brand Activation Specialist is required to drive activation plans for its stores to develop a strong brand image and ensure a profitable growth in the market.
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.
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.
Are you looking for a new challenge in your career? A great opportunity have arise for those looking for a change and development in their careers. A leading oil & gas company is looking for like minded individuals to join them in their expansion plan.
This is a left right hand person to the CFO for driving the strategic direction and performance management processes of the organization. This position plays a key role in developing and implementing strategic initiatives, monitoring business performance, and providing insightful analysis and reporting to support decision-making at all levels of the organization.
The Head of Government Relations is tasked to strategize and spearhead key initiatives to deepen company's engagement with government and regulatory stakeholders, strengthening key relationships.
This role requires you to be in charge of Treasury and Account Payable. You will be assisting the CFO in managing cash flow, loan financing and debt facilities.
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