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Exciting opportunity for a Director, Corporate and Financial Services Loan Syndicate with a leading Corporate & Investment Bank in London
An exciting opportunity has arisen for a Compliance Business Partner to join the 'second line of defence' Compliance team at the FSCS. The role holder will support the Compliance Manager and Head of Risk & Compliance in the delivery of the continuous compliance process by conducting deep dives,providing timely, evidence-based reporting for the Board, Risk Committee, Executive Team and wider management in accordance with FSCS's Compliance Framework.
Superb opportunity to join the FP&A team of this highly successful investment banking business based in Central London. Working alongside the FP&A Manager, your role will encompass financial analysis, business partnering, compensation planning, and performance reporting for the UK and EMEA regions.
Head of Finance - Payments house
Exciting opportunity for a Director Structured Products with a European Corporate & Investment Bank. London
Our client is looking for a Commercial Insurance Broker
The role is a fantastic Treasury Administrator position which offers great career progression in a growing Treasury function based in Central London with hybrid working arrangements! In this position will be supporting overall Treasury Operations including managing banking relationships, cash management, KYC and supporting the Senior Treasury Manager with ad-hoc duties.
The Graduate Support Analyst role involves providing first-line operational support for multiple trading platforms, ensuring seamless day-to-day operations and effective issue resolution. You will work closely with cross-functional teams to maintain platform stability, troubleshoot issues, and implement process improvements.
The position: Senior Manager, FPnA and Regulatory Capital Calc - FinTechCity of London location, hybridThis really needs a strong commercial nous, full P&L and Balance Sheet view to own FP&A life-cycle and the regulatory capital calculations amongst other assumptions underpinning their forecast. Given the variables, VBA and Advanced Excel will be must-have's to visualise "so what" for c-suite presentations.
The Head of Internal Audit (SMF 5) will be responsible for leading a robust internal audit function, ensuring compliance and risk management in a financial services environment. This role is based in London.
My client is looking for an immediately available experienced Treasury Analyst to join the Accounting and Finance department in the professional services industry. The role is based in Manchester one day a week and the rest can be remote.
A new and forward thinking UK lending firm is hiring an Operational Risk Analyst to join their Operational Risk function, hiring a Operational Risk Analyst
Financial Reporting Manager - 12 month fixed term contract
Our client are seeking a Compliance Analyst to join their growing team who will play a vital role in ensuring the firm adheres to regulatory standards. The successful candidate will work closely with the Head of Compliance and be tasked with reviewing and setting policies, developing the Compliance Monitoring plan, as well as providing guidance on compliance regulatory matters.
Hugely exciting role in Credit Risk . To join a small, but hands on Risk team for a global commodities brokerage.This role will give the successful Credit Risk Analyst significant career opportunities and exposure . You will work with the front office teams on a daily basis and have opportunity to learn directly from experienced senior management.
To provide 2LoD oversight, advice, challenge and independent assurance to the bank and its subsidiaries, whilst ensuring Operational Risk & its associated component parts are clearly defined and embedded within the business, horizon scanning and adherence to regulatory requirements.
Senior Reporting ManagerCalling Big 4 SMs, FS Audit - ready for industry moveCity of London (3 days weekly in office, hybrid)
Exciting opportunity for a Director - Senior Sales Manager Private Markets with a Security Services division of a leading Global Bank in London- Target clients for this role will encompass Pure Player Private Capital firms across the jurisdiction as well as Private Capital arms of select Asset Management and Asset Owner firms.
Assist the Internal Audit Management in performing the annual risk assessment & formulating the annual plan with regards to IT. Execute IT audits to high quality standards and ensuring scope is risk based. Take ownership & project manage end to end delivery and business stakeholders. Develop and maintain stakeholder relationships with the business. Provide objective assurance over the key business risks faced by the Group.
The Collections Administrator will effectively manage customer accounts, ensuring timely collection of payments. This role also involves maintaining accurate records and providing excellent customer service.
As Deputy Treasurer you will be responsible for managing the bank's assets, liabilities, liquidity, and interest rate risks
A Treasury Manager is sought for a 6-month fixed term contract role with the chance for a permanent position at the end of the contract! The ideal candidate will demonstrate a strong background in finance/treasury and have worked in a similar Treasury Manager role previously.
Senior Legal Entity Controller - Brokerage
The Compliance Surveillance Analyst will help with teh development of a surveillance framework that meets the firm's regulatory obligations to monitor trading activities against market abuse.
The Treasury Dealer will work alongside with the Senior Treasury Dealer to raise funds and provide liquidity for the UK branch of a European Bank
The Senior Treasury Dealer will take the lead on raising funds and providing liquidity for the UK branch of a European Bank whilst managing one Dealer.
This exciting opportunity calls for a Treasury and Bond Portfolio Manager in the financial services sector, based in Central London, who will manage and optimise the bond and treasury portfolio to maximise returns and minimise risk.
Handle overdue accounts by contacting clients and negotiating repayment plans. Effective communication and persistence are crucial for success in this role.
The role of Collections Account Manager (FTC) is an 8-month fixed-term contract focused on managing arrears under 60 days, ensuring accurate cash allocation, and building strong internal and external relationships to support timely payment.
The Recoveries Account Manager (FTC) is an 8-month contract role focused on managing arrears collection in the 60-90 days aged debt category. The ideal candidate will have experience in asset finance or automotive collections, with a strong understanding of the full collections and recoveries process.
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