Browse our jobs and apply for your next role.
The right candidate is just a few clicks away.
PageGroup changes lives for people through creating opportunity to reach potential.
If you have any questions, we’re here to help.
As a Treasury Analyst, you will play a key role in managing the company's liquidity, cash flow, banking relationships, and funding requirements. You will support day-to-day treasury operations, optimise cash management, mitigate financial risks, and ensure compliance with company policies and relevant regulations. This role provides significant exposure to regional and global treasury practices within a dynamic FMCG environment.
We are looking for a Treasury Analyst who will join our Global Business Services division to provide support in Treasury related activities, including but not limited Cash & Liquidity Management, Trade Finance, Electronic Banking Administration and Banking Relationship.
The Assistant Treasury Manager will oversee treasury operations and financial management within the Shared Services industry. This permanent role requires expertise in accounting and finance to ensure efficient cash flow management and financial planning.
This senior accountant position is responsible for managing intercompany accounting activities, ensuring accuracy, compliance, and timely reporting in line with internal policies and international accounting standards.
The VP of Credit Admin & Control (Team Lead) will oversee credit administration, expertise in retail credit operations and ensure adherence to regulatory standards within the financial services industry. This role is ideal for a detail-oriented professional with expertise in banking operations and credit management.
The Regional Head of Technology, Managing Director will oversee strategic and operational technology initiatives within the financial services industry. This role requires strong leadership and expertise in managing technology strategies at a regional level.
We are seeking a detail-oriented professional to deliver timely and accurate sales reporting and analysis in the Asia Pacific region. This role involves monitoring sales performance, forecasting, and driving budget planning to help steer business decisions.
The FP&A Analyst will play a key role in managing financial resources and optimizing budgetary processes within the organisation. This role is based in Kuala Lumpur and will require extensive travelling outstation within Malaysia.
A crucial player in the Accounting & Finance department who will be responsible for the smooth running and improvement of the RTR process. The position is based in Kuala Lumpur/ Selangor and offers a hybrid working arrangement.
The Senior OTC Specialist will be responsible for overseeing and managing the order-to-cash processes while ensuring accuracy and efficiency in the FMCG industry. This role requires a detail-oriented individual with strong accounting and finance expertise based in Malaysia.
This is an excellent opportunity for a Senior Account Payable Specialist to contribute to the Life Science industry through effective management of accounting processes. The role focuses on ensuring accurate and timely processing of payments and financial records within the Accounting & Finance department.
Create Job alert to receive Treasury jobs via email the minute they become available
Submit your CV to register with us and we will contact you if a suitable role becomes available.