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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.
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 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 Head of Global/Capital Markets will oversee strategic initiatives and operations within the financial services industry. This leadership role focuses on driving innovation, operational excellence, and fostering collaboration across teams.
Join a reputable organization as an RTR Accountant (multiple headcounts - Senior & Junior Positions) in Kuala Lumpur, where you will play a pivotal role in managing financial records and ensuring compliance with accounting standards. This permanent position within the business services industry offers an excellent opportunity to grow your career in accounting and finance.
The Senior Tax Manager (Compliance) will oversee tax compliance processes and deliver expert guidance on tax regulations within the professional services industry. This role is ideal for individuals with strong technical tax knowledge and leadership capabilities.
The Regional Tax Manager will oversee and manage all tax-related matters within the organization, ensuring compliance with local regulations and optimizing tax strategies. This role is crucial for driving efficiency and accuracy in tax planning within the energy & natural resources industry.
The Finance Manager will manage financial activities, involving overseeing the accounting and finance department, ensuring financial compliance, budget management, and financial reporting.
The Finance Manager will lead the finance team and oversee all financial aspects of our business operations. The ideal candidate will bring deep financial expertise, strong leadership qualities, and excellent communication skills to manage a growing portfolio.
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