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.
The Treasury Analyst will play a key role in managing cash flow and liquidity for a company in the FMCG industry. This position requires a detail-oriented professional to oversee treasury operations and ensure financial efficiency.
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 Corporate Finance & Treasury Manager will oversee financing strategies and manage fund allocation for a leading company in the industrial/manufacturing sector. This role requires expertise in financial analysis, funding operations, and stakeholder collaboration to support the company's growth objectives
This job requires you to be in charge of Treasury while assisting the Head of Tax & Treasury in daily treasury matters.
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 Finance & Treasury IT Support Specialist (SAP FICO) will play a vital role in supporting and maintaining SAP FICO systems to ensure smooth financial and treasury operations. This role is based in KL and focuses on providing technical solutions within the transport & distribution industry.
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.
As an AP Team Lead in the FMCG SSC industry, you will oversee the accounts payable function, ensuring efficient processes and compliance with financial policies. This role requires strong leadership and technical accounting expertise to drive operational excellence in the department.
The Deputy CFO will oversee financial strategies and operations within the extrusion division, ensuring alignment with corporate objectives. This position plays a key role in driving financial performance and supporting leadership decisions in the industrial/manufacturing sector.
The Financial Closing and Reporting Manager will oversee all aspects of financial reporting and ensure timely and accurate financial closings. This role requires expertise in accounting and finance within the industrial/manufacturing industry.
The Financial Accountant will oversee critical financial reporting and analysis tasks to ensure accurate and timely accounting processes. This role in the retail industry is ideal for professionals who thrive in a structured environment and enjoy contributing to the success of a team.
As a Process Improvement Manager (Shared Services) in the services industry, you will lead initiatives to enhance operational efficiency and streamline processes within the accounting & finance department. This role requires a results-driven professional with a focus on delivering measurable improvements in a shared services environment.
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.