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Looking to identify a talented individual who will play a pivotal role in our client's organization's growth and development. This role will be responsible for maintaining the company's financial records, ensuring the accuracy of the general ledger, and support with preparing financial reports in compliance with regulatory standards. The role involves managing month-end and year-end closings, preparing financial statements, and reporting activities.
The Financial Planning and Performance Manager will oversee financial analysis, investment performance, and PPP project assessments for a diverse portfolio of subsidiaries, ensuring long-term financial stability and growth. This role involves providing strategic insights and recommendations on high-impact investments, with a strong focus on Public-Private Partnerships across sectors like renewable energy, transportation, and water.
A leading healthcare provider is seeking an experienced Director of Revenue Cycle Management (RCM) to oversee and enhance revenue operations, negotiating directly with insurance companies, and setting pricing strategies across its hospital network.
A tech start-up in Riyadh is seeking an experienced Corporate GRC Manager to design and implement its Governance, Risk, and Compliance (GRC) framework, ensuring operations align with laws, regulations, and industry standards to protect the company's reputation and stability.
The job will consist of developing and managing cost control procedures, budgets, and financial plans, overseeing project expenditures, cashflows, and invoicing to ensure financial accuracy and compliance. It will include analyzing financial data, identifying trends, and supporting profitability while coordinating with project managers and cross-functional teams to address cost variances and forecast accuracy.
This role involves monitoring and analyzing the financial performance of projects, providing financial insights to project managers, and ensuring alignment with budgets through detailed reporting and cost management. Additionally, it supports financial planning and strategy, compliance with policies, and process improvements to optimize project financial management.
This role involves partnering closely with business leaders and developing the FP&A team to drive financial success and ensure alignment with organisational goals.
In this role, you will manage customer accounts, ensure timely collections, and maintain accurate financial records related to accounts receivable.
To oversee general accounting operations by controlling and verifying our financial transactions. Accountant responsibilities include reconciling account balances and bank statements, maintaining general ledger and preparing month-end close procedures.
A leading international law firm, renowned for advising clients on complex transactions and disputes, is expanding its presence with new offices. The firm is seeking a Billing Specialist to join its Middle East finance team, reporting to the Middle East Finance Manager. This role will be an essential part of the broader billing team, contributing to the firm's precision-driven and visionary approach to legal services.
Your role will include supporting investment decision-making by analysing projects and conducting financial modelling to evaluate potential opportunities.
Looking to identify a talented individual who will play a pivotal role in our client's organization's growth and development. This role will be working closely with the Financial Controller, taking responsibility for Group financial reporting. The role provides technical leadership to the Group's finance function and manages the year end and interim reporting process as well as the relationship with the Group's auditors.
As a Corporate Finance Analyst, you will play a pivotal role in supporting the financial strategy and decision-making processes for the company's diverse and high-value real estate projects. Your expertise in financial modeling, analysis, and strategic planning will contribute to maximizing the company's profitability and ensuring the successful execution of key developments.
Our Client is a Global Consumer brand and hiring a head of department specialising in Accounting Control and Taxation.
The Investment Analyst will be responsible for sourcing, evaluating, and conducting due diligence on diverse investment opportunities while providing in-depth financial analysis and portfolio management support. The role involves regular portfolio reviews, performance reporting, and collaboration with external investment managers to optimize returns and manage risks.
Looking to identify a talented individual who will play a pivotal role in our client's organisation's growth and development. This role will be working closely with senior finance and auditing professionals, to add value and improve their operations by bringing a systematic and disciplined approach to the effectiveness of risk management, control, and governance processes.
Responsible for developing and implementing corporate strategies to drive business growth and expansion.Identifies and evaluates potential M&A opportunities, conducts due diligence, and leads integration efforts.Collaborates with cross-functional teams to execute transactions and maximize value. Provides strategic guidanceto senior management, monitors industry trends, and continuously improves processes for optimal results.
This role provides comprehensive accounting support, managing the entire accounting cycle, preparing financial reports, and assisting with month-end closing. The ideal candidate will also collaborate with overseas teams and handle ad-hoc tasks as needed.
Currently seeking a dedicated and experienced Credit Controller to join my client's finance team, based in Bahrain. As a key member of our organization, the Credit Controller will be accountable for managing and developing all aspects of credit and accounts receivable management. He/she will be responsible for the daily management of cash collection and minimize risk of credit losses.
To support the Head of Business Analysis in creating management reports and conducting various analyses as needed. Engage in compiling, processing, and examining data for closing, budgets, and business plans, while also enhancing reporting and decision-making tools. Contribute to the Sales and Operations Planning (S&OP) process for specific markets, scrutinize sales data, and identify risks and opportunities.
Analyzing financial data, provide insights to help management make informed decisions about pricing, production efficiency, and overall profitability.
Managing and overseeing risk, ensuring that all elements of risks are assessed, planned and managed according to risk framework. Ensuring Risk Management by preparing a complete risk assessment for the organization and preparing a risk plan to manage it.
Operationalize Internal Controls Framework (ICF) as it relates to project controls in line with COSO Internal Controls Integrated Framework and other best practices. Collaborate with cross-functional teams (especially projects sector) to evaluate, improve, and monitor project control environment to mitigate risks, enhance compliance, and drive efficiencies.
Operationalize organizations Internal Controls Framework to enable compliance with COSO regulations. Collaborate with cross-functional teams to evaluate, improve, and monitor internal control environment to mitigate risks, enhance compliance, and drive efficiencies. The Lead will be a key contributor to organization's operational excellence strategy.
You will be leading the FP&A function, with a heavy focus on driving the budgeting and forecasting process across key departments. Additionally, you will be responsible for financial/commercial analysis, and communicating with senior stakeholders and department heads to influence the decision-making process. There will also be exposure to corporate accounting, but the key focus will be on growing and developing their FP&A controls and processes.
Nous recherchons un Trésorier international expérimenté dans le secteur de l'énergie.Rendant compte au Directeur Financier Groupe, vous serez responsable de la gestion des flux de trésorerie mondiaux, du développement de politiques de gestion de la liquidité et du capital, et du soutien aux besoins de financement de l'entreprise.
This person is responsible for developing the firm's business across Francophone West Africa. Strong focus is on marketing the firm's trade finance, funding and turn-key solutions to governments, parastatals and regional banks.
You will be responsible for leading strategic projects, leveraging advanced analytics, and collaborating with senior stakeholders to implement impactful solutions.Drive data driven transformation initiatives across key shared services such as HR, Procurement, Finance, Legal, and more. The role will be instrumental in influencing data-driven decisions at the highest levels of the organisation.
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