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This position is for a Treasury Professional who will oversee cash management, payments, and Fx & commodity operations regionally.
The Lead-Treasury will handle all aspects of the company's cash management operations and implement strategies to improve treasury processes. This role is focused on managing liquidity, mitigating operational risks, and driving capital structure decisions.
The Treasury Professional will focus on managing currency exposures and risks within the South Asia region, contributing to the financial health of the firm.
The Lead Treasury role will play a vital role in managing the organization's cash flow, fund raise, financial assets and investments, along with providing leadership in treasury management.
This role is for a detail-oriented FP&A Manager in the Accounting & Finance department. The position involves financial planning, budgeting, and analysis for a real estate firm.
Global Liquidity Manager / Senior Manager, Mumbai City, Oil and Gas:The Global Liquidity Manager will be responsible for managing and optimizing cash flow across the organization while ensuring compliance with financial regulations.
In this crucial role, you will be driving Data Management department to achieve their objectives. The role provides operational ownership of a relatively new but highly strategic part of research vertical.
Enthralling opportunity to lead and manage the financial planning and analysis (FP&A) department for a leading firm in the industry. The FP&A Head will be responsible for forecasting, budgeting, and financial analysis.
The Manager (Business Finance) will oversee the development and implementation of financial strategies, investment activities and managing financial risk within the company.
The Manager, Financial Planning & Analysis (FP&A) will be responsible for financial forecasting, reporting and operational metrics tracking. The role has dual reporting to the European Head of Finance and CFO
As an Associate Director - Finance Controller, you will be primarily responsible for overseeing, directing, and executing all financial operations which includes financial reporting, auditing, tax and accounting compliance
Head the Fund Raising and Finance for a Top Financial Services setup. The ideal candidate will have a robust background in investment banking, with a strong track record of successfully securing funding from diverse sources. This role will be pivotal in driving our growth strategy and expanding our funding capabilities.
The FP&A Specialist will be responsible for financial planning and analysis to drive the decision-making process and support business operations. The role involves providing insights to senior management through detailed analysis of operational and financial data.
The Credit Controller will manage all aspects of credit control, ensure timely payments, minimise debt, and maintain accurate records.
This role involves overseeing and managing the liquidity and market risk activities for a retail banking and loans provider. The SVP - Liquidity and Market Risk will also work closely with the senior management to ensure the bank's risk management strategies align with its business goals.
The position is to head the business planning and CEO's office. The role also entails developing and implementing business plans, conducting financial analysis, forecasting and budgeting, and identifying opportunities for growth and improvement.
The mandate provides an excellent opportunity for experienced professionals to lead the global processes across P2P/S2P/S2V, focusing on optimisation and enhancement of financial processes.
The Senior Manager - AR will lead the team responsible for managing accounts receivable and play a pivotal role in the Shipping Freight sector of the Transport & Distribution industry.Role: Senior Manager - Accounts Receivables | Shared Service | Location: Mumbai City | Industry: Logistics Distribution and Supply Chain
As a Manager of Internal Audit, you will lead audit projects, ensuring compliance with company guidelines and statutory requirements, while also providing strategic insights to senior management.
The Manager - Indirect Tax (LATAM & US) will have a key role in managing indirect tax related affairs for the company's LATAM & US operations, ensuring compliance with local and international tax laws.
A Global Direct Tax Manager is required to oversee international tax compliance and strategy, with a focus on direct tax matters for a multinational company.Must have: Multi-Country Tax Experience Role: Manager - International Direct Tax | Pune | Industry: Marketing | City: Pune | Experience - 5 - 10 years
Drive the company's financial performance and profitable growth by managing, coordinating and making critical decisions about it's marketing spend and activities through business partnering and controllership.
The Deputy Manager - Financial Planning & Analysis will be responsible for financial forecasting, analyzing financial data, budgeting, and financial reporting.
Looking for person in Financial Account and Controls with hands on skills in SAP FICO Functional. Preferred Candidate: CA + FICO certified professional with 12-14 years experience in leading SAP FICO Practice.
This role involves managing financial activities, ensuring compliance and reporting in US GAAP & IFRS and streamlining financial processes in a shared service environment.
Manage financial actions of the GCC, including accounting, planning, and reporting. Ensure compliance with group policies and regulatory requirements while advising GCC management for informed decision-making and strategic support.Role: Service Delivery Lead / Head - Finance and Accounts (F&A)
The Finance Controller will be responsible for managing the financial health of the company and providing strategic financial inputs to the senior management.
As the Head of Investor Relations, you will be responsible for managing and overseeing all investor relations activities and communicating the company's financial performance and strategy to investors and analysts.
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