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Overall in-charge of the finance controllership including managing all aspects of taxation and accounting in a global finance services organization. The position also involves implementing strategic tax planning for the company.
This position seeks a Business Finance Manager (BF Manager) with strong financial acumen and analytical capabilities, ready to drive financial decisions and strategies in the Technology & Telecoms sector, particularly in the Internet industry.
The FP&A role involves executing financial planning and analysis tasks, as well as contributing to the financial strategy and operations within the region
We are seeking a talented and dedicated Senior Manager (Group controllership RTR) for a leading retail startup based in Gurgaon. This individual will play a crucial role in overseeing our accounting and finance operations, ensuring accuracy, and promoting efficiency.
This role is to manage the treasury portfolio (solutions - liquidity) and risk for the group including all Group companies. The person will be responsible for devising and implementing the Group's Treasury Strategy. It will 2 reportees (1 DR + 1 IDR)
The role is a regional leadership role in the organisation leading a large geographically diverse team responsible for directing and improving the overall success of the organisation.
The Assistant Manager - Corporate FP&A is tasked with handling the FP&A and Business Finance activities, as well as collaborating with senior management across US and UK.
We are seeking a dynamic and experienced FP&A Manager to join our sales Division. The FP&A Manager will be responsible for providing financial planning and analysis support to the Sales team, including forecasting, budgeting, variance analysis, and decision support. The ideal candidate will have a strong analytical background, excellent communication skills, and a proactive approach to problem-solving.
A Qualified Chartered Accountant who has prior experience of dealing with Insurance Accounting, Insurance Financials and have exposure to IFRS17 and Ind AS implementation. The job also requires understanding around GST from invoicing perspective for premium and having strong reconciliation skills.Ability to manage stakeholder's expectation and cross functional communication is also preferred.
The Head - Accounting and Tax will manage a P&L and take accountability for the Accounting and Tax business service line
The R2R Director will lead the effective management of the company's financial records and ensure compliance with standard accounting practices.
The Manager - Business Control will play a vital role in financial planning, risk management, profitability, budgeting and forecasting.
The Assistant Manager, Business Finance will oversee financial planning, budgeting and forecasting, cost optimization and strategic initiatives.
The Senior Manager, Corporate FP&A would be a dynamic, high energy finance professional who is open to travel to the US and work closely with our Client's Business and Finance teams. They would be responsible for financial planning and analysis as well as strategy and planning.
The Financial Analyst will lead accounting, financial reporting and portfolio management activities, and function as an integral part of a close-knit group of investment professionals.
The Manager - Treasury will play a pivotal role in managing the company's financial assets and investments, ensuring the smooth flow of financial operations.
Responsibilities:As a Credit Analyst, you will be involved in:
The Head - FP&A Tower leads FP&A operations for more than 100 global group legal entities. A critical role within the Global Business Services organisation, the FP&A tower supports financial planning, budgeting, forecasting and analysis across the entire group
The candidate needs to understand Sales Financing needs & develop strategy with KPIs to address needs of India Market including structured financing/leasing options for customers.
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.
The Strategy, Process Automation & Taxation role stands at the intersection of Strategy and Tax, where the focus would be on driving loss optimization and savings within the tax domain. This is an extremely strategic and analytical position with deep impact on all financial decision-making processes within the company.
As the ERM Head, you will be responsible for driving the overall Enterprise Risk Management (ERM) framework and Internal Audit programs. You will also ensure the company's compliance with risk policies and regulations.
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