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ESG Data Platform Product Manager to join the Sustainability strategy team and define then execute the product strategy for their sustainability data platform that align with their sustainability objectives and stakeholder requirements.
A challenging PMO Lead role for a fantastic Financial Services client in their Tech Portfolio team.
Reporting to the BI Manager, the purpose of this role is to manage and develop the Workday Financials reporting suite, providing visibility of key operational and performance related data, information and insights. Managing the development of new solutions, advanced maintenance of existing solutions and providing ad hoc support to all areas of the business. In addition, building data pipelines and custom data sources in Prism.
An exciting opportunity for a driven and talented Fund Accountant to make a real difference as part of a dedicated and professional team. You will be responsible for providing accounting services to a portfolio of private equity clients and have a good knowledge of consolidations and group accounts.
A leading Financial Services firm based in the City of London seeks a Benefits Specialist to administer our client's benefits offering and manage the Group Income Protection / Long-term absence programmes for HR. This role may be carried out within a range of experience depending on the development of knowledge and skills in the role and the role-holder's ability to work with increased autonomy.
A Global Financial Services firm based in the City of London seeks a Compensation Manager to contribute to the overall success of Total Reward and the Human Resources Function in Europe by ensuring specific individual goals, plans, initiatives are executed / delivered in support of the team's business strategies and objectives.
A Financial Services firm based in the City of London seeks a Global Mobility Specialist - FTC to cover a maternity period. The successful applicant will manage the worldwide immigration/relocation cases process in full and act as the secondary point of contact to answer questions. Additionally, you will manage the worldwide business traveller/remote working abroad cases process in full and act as the secondary point of contract to answer questions.
My financial services client's based in central London and are looking for a Successfactors Data/HR Analyst to join their team working on a new and exciting project on a 12 month initial basis with a possibility that it will be extended.
Our client is looking to fundamentally transform the abilities and output of the Finance & Performance Directorate by leveraging an integrated Oracle Fusion Finance, Procurement and HR System. This role is to lead the team that will drive this change including the implementation of outstanding modules across Finance, Procurement and HR whilst defining a step-change in reporting, processes and analysis.
As a Regulatory Reporting Manager, you will ensure accurate and timely regulatory returns to BoE/PRA including CoRep, FinRep & statistical return. To assist in various projects implementing business change, IT change and new regulations as well as process & MI improvements
Support the Head of Liquidity Risk in providing oversight of liquidity risk across the firm. As a Liquidity Risk Manager, you will focus on stress testing on group level to meet PRA requirements.
A Global Financial Services Organisation, based in the City of London, seeks a HR Technology Administrator on an initial 12-month long Fixed Term Contract basis. The candidate will support the SuccessFactors Platform owner and module SMEs to ensure that the system is available, regularly updated and enhanced, and meets business requirements and support strategic and high-profile HR and Business change projects that involve changes to SuccessFactors.
Responsible for monitoring and managing liquidity, funding & cashflow risks, IRRBB & FTP.
The core aspects of the role encompass delivery of regulatory reporting for the entity, specifically this role delivers prudential capital regulatory reporting.
To be responsible for (i) management and coordination of Financial Control deliverables for the full year, interim and half year audits, liaising directly with the auditors and coordinating responses from other divisions within the bank (ii) Ensure Financial Control meet the requirements of our Risk & Control Framework across all workstreams (iii) Supporting delivery of key month end deliverables (iv) Providing leadership on ad hoc projects to support delivery of the banks strategic objectives.
The individual will be responsible for supervising a small team of accountantsproviding accounting and administrative services to a portfolio of private equity clients.This is a position best suited to an accountant with good experience in preparation ofannual accounts and understanding transactions. In addition a good knowledge ofconsolidations and group accounts will be necessary.
To ensure vigorous controls over prudential liquidity management by developing in-house database tools. Policies and frameworks will need to be adapted accordingly.
Support the development, implementation, and delivery of the Model Risk Management Framework across EMEA region.
TREASURY ACCOUNTANT - FINANCIAL SERVICES - IMMEDIATE START - INITIAL 6 MONTH CONTRACT - £350-£420/DAY
Management and Performance Measurement Accountant
FPnA VP or AVP - Payments and Challenger BankSub £2 Billion Balance Sheet size with fast growthBanking & Financial ServicesCity of London
This is a Chair of Risk role for a small foreign banking subsidiary, it will be an SMF10 position, approved by the regulator.The successful candidate will also Chair the Credit committee therefore Credit risk is a prerequisite for the role.
Monitor and analyse the company's daily cash position to cover commitments and coordinate to optimise the yield, and execution of the daily cash management. Pool cash from all bank accounts and sweep to BOE to optimise liquidity returns.
Financial Accountant - payments and infra lending
AVP - Leveraged Finance Portfolio Management
European Leveraged Finance Portfolio Management - Financial analysis and preparing credit papers.Applying ratings to new and existing borrowers.
Manager, Finance Business Partner - breadth [B/S] and depth [PnL]
FPnA Management Accountant - Trading desk and Finance Markets
Financial Reporting Accountant - Treasury and Retail Bank1. IFRS2. Financial/Statutory Reporting- monthly and annual3. Hedge accounting
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