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As a Treasury Analyst in shared services, you will be responsible for managing various financial aspects related to the treasury function across multiple departments or business units within the organization
This role requires you to be in charge of assisting the Finance Director in daily and adhoc matters for the company.
This role requires you to be in charge of assisting the CFO in daily and adhoc matters for the company.
Taking charge of the treasury for SEA and Australia, you will be responsible for cash & FX management.
Play a vital role in managing the company's financial health by ensuring efficient cash flow, mitigating foreign exchange (FX) risk, and maintaining strong relationships with banking partners.
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.
This role requires you to be in charge of assisting the Treasury Manager in daily and adhoc matters for the company.
Enhancing cash management, facilitating cash flow financing, and serving as a catalyst for investing surplus cash.
The Senior Treasury Analyst will report to the Head of Treasury and supervised by Treasury Manager in KL office.
The candidate will be responsible for treasury activities, including cash management, creditor relations, and capital planning.
This role requires you to be in charge of assisting the Head of treasury in daily and adhoc matters for the company.
This role requires you to be in charge of assisting the Head of Treasury in daily and adhoc matters for the company.
This role requires you to be in charge of assisting the Finance Manager in daily and adhoc matters for the company.
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.
Maximizing cash management, facilitating cash flow financing, and serving as a facilitator for the investment of excess cash reserves.
This job manages financial transactions for entities in the Southeast Asia Pacific region and leverage on new and emerging technologies
This role will be responsible for overseeing all aspects of our corporate tax function, including direct tax, indirect tax, and tax advisory. Additionally, you will manage basic operational banking matters for the company.
This position is an individual contributor that prepares complex income tax provisions, draft income tax computation and provides support to Opco and works closely with External Advisor. This position is a preparer for indirect tax liabilities, and specifically on the indirect tax implications of any transactions and works with External Advisor and Opco. VAT, Withholding tax, Transfer Pricing. Works closely with Shared Services of PTP, OTC
We are looking for an experienced Head of Global Shared Services (GSS) to drive and steer the build and development of our internal Global Shared Services globally in our company. You will be the one to devise the company's Service and Shared Services Strategy and ensure that all systems, processes necessary to support its operations and objectives are in place.
As the Finance Manager of the team, you will be involved in managing and leading the finance team, taking responsibility for functions such as management accounting, treasury, and tax. Additionally, you will play a crucial role in improving finance functions, overseeing treasury operations and statutory reporting, while also spearheading efforts to enhance the efficiency of the accounting system and internal controls.
As a Senior Finance Manager, this role requires you to lead the finance team and enhance the organisation's accounting, finance and treasury functions.
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.
This job requires you to be in charge of the Operational Finance team that has the GL, FP&A and Treasury function. You will be managing and assisting the CFO to maintain smooth operation of Finance department.
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.
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