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You will be responsible for overseeing and ensuring the effective management and performance of the Corporate Banking business.
Responsible for preparation of credit assessment and other administrative matters in connection with credit.
Our client is looking for an Investment Analyst to join our Fund Manager Research team in New York. This individual will play a key role in sourcing, analyzing, and monitoring third-party fund managers (private equity, hedge funds, and other alternative strategies). The analyst will support investment decision-making through deep research, model building, and critical thinking.
I'm partnered with a multi-million dollar materials management company that provides recycling and sustainability solutions to the industrial, demolition, and public sectors. Their services include metal processing, mill support, and large-scale asset decommissioning.
This is an exciting opportunity for a skilled Fund Controller to join a reputable organization in the financial services industry. The role focuses on managing fund accounting operations and ensuring compliance with regulatory and reporting requirements.
Our client is looking for a strong, growing Senior Financial Analyst to join the organization and partner with business leaders on strategic business decisions. You will have high visibility to the senior leadership and business partners, as well as interact with new softwares.
Our client is looking for a Client Billing Temp to provide essential administrative support for client billing operations. The associate will focus primarily on processing Client Administration requests, maintaining account records, applying payments, and monitoring receivables.
Our client is looking for an experienced Finance Manager to join their rapidly growing accounting and finance function. This role will provide you the opportunity to be a business parter with deparmtnetal heads and provide insight for strategic decision making on budget and finances.
As a Senior Financial Analyst, you'll work hand-in-hand with senior leaders and the accounting team to conduct variance analysis, provide impactful insights that shape strategic decisions, and drive forecasting across multiple teams.You'll also serve as a trusted local business partner, working cross-functionally to analyze performance across departments, enabling data-driven decisions that fuel profitable company growth.
The primary responsibility of the position is to prepare assigned regulatory reports in an accurate and timely manner in accordance with US GAAP and instructions from regulatory authorities, which requires working knowledge of financial accounting and regulatory reporting, as well as understanding of the financial industry. The position will be responsible for regulatory reports across all entities under the Combined US Operations.
Support the Bank finance team by acting as a key resource in the month-end financial reporting processes. Work in a team environment performing daily accounting tasks and also provide support to the business and finance teams by researching accounting issues and participating in ad-hoc projects.
This role involves preparing and analyzing a wide range of financial regulatory reports for U.S. operations, ensuring compliance with accounting standards and regulatory guidelines. It requires strong accounting knowledge, attention to detail, and coordination across teams, with a preference for candidates experienced in banking, financial reporting, or regulatory compliance.
As a part of the Client Reporting team you will formulate the successful delivery of critical reporting and distribution functions daily and partner with colleagues to craft and advance a globally aligned vision and business model.
In this position, you'll be responsible for building and maintaining client relationships, identifying and assessing new business opportunities, and managing the entire transaction process-from conducting due diligence to underwriting and securing credit approval.
Handle daily Accounts Payable tasks such as entering invoices, reconciling accounts, monitoring invoice status, and resolving invoice-related issues on a global scale.
Our client is looking for an experienced FP&A Manager to join their rapidly growing Finance department. This role will be integral in establishing a new ERP tool and building out the team reporting directly to them long term.
The firm is a leading debt capital partner for North American middle market companies and offers a broad range of financing solutions, including first lien, stretch senior, unitranche, second lien, and subordinated debt, as well as equity co-investments. The team is looking to add a Private Credit Associate.
The Senior Associate, Alternatives Finance role offers an exciting opportunity to contribute to the financial management and reporting processes within a strong financial services firm. This position is ideal for a detail-oriented professional with a strong background in accounting and fund operations.
The Fund Finance Associate will be responsible for all fund performance analysis, and all accounting and reporting related to real estate funds.
We are partnered with a global automation machinery manufacturer in Schaumburg, IL on a Financial Analyst opening. With over 75 years in their business and a strong international prescence, our client provides a direct path to promotion internally within their rapidly growing US business unit. Our client values growth, work/life balance, and diversity in the work place.
Our client is looking for a meticulous Accountant to join our Finance team. This key role supports accurate financial reporting and smooth financial operations across the organization. The Accountant will handle monthly bank reconciliations, journal entry preparation, accounts payable management, and intercompany billing tasks.
The role involves managing access rights for external clients across 12 electronic trading platforms and internal tools, facilitating transactions with Trading desks in the Fixed Income markets on a global scale.
Maintain up to date Letters of Credit file containing all relevant supporting documentation i.e. copy of executed letter of credit/ amendments and completed compliance checklist, when required
This person will act as point of contact for client or agent bank accounts within their assigned portfolio, and also maintain and establish credit authorizations, fee accrual schedules and loan templates consistent with ALTAR closing request and credit agreements.
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