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The responsibilities related to supporting Oracle FLEXCUBE and OBP (Open Banking Platform) production across versions, as well as involvement in evolution projects revolving around Core Banking.
As a key legal advisor, the successful candidate will contribute to our client's strategic growth and innovation initiatives in these specialized areas.
This role will involve taking charge of spearheading the creation, advancement, and oversight of our organization's data platform and analytics competencies. You will work closely with multifunctional teams to grasp the business requisites, data strategies, and actively promote data-centric decision-making throughout the organization.
Spearheading the origination, structuring, and execution of equity offerings for clients, utilizing extensive financial modeling and due diligence skills. Candidates will lead high-profile transactions, foster client relationships, and stay abreast of market trends to drive successful outcomes in a dynamic and fast-paced environment.
Reporting to the Accounting Manager, you'll coordinate with a team of 6 accountants and 4 finance officers. Engaging to implement a new accounting system, developing costing systems, analysing cost variances, optimising manufacturing processes, and presenting cost reports to senior management.
This role involves overseeing accounting operations within a manufacturing setting, requiring expertise in cost accounting, tax compliance, and financial reporting. The ideal candidate will lead and mentor teams, implement accounting systems, and ensure adherence to standards while contributing to the company's growth and innovation.
You will be responsible for undertaking deal origination, investment evaluation, and execution of private equity investments in Thailand. Work with C-level executives and board members in overseeing the invested companies and assisting them in operational, financial, and other necessary matters
The role involves collaborating with the Executive Leadership team to provide reports, analyses, risk assessments, and forecasts. Additionally, overseeing two teams operating under different accounting systems, while also engaging in an ERP implementation project and managing day-to-day accounting operations, policy implementation, financial reporting, planning, and ad-hoc financial support.
The role entails managing cost accounting policies, analysing product profitability, and identifying cost-saving initiatives, alongside overseeing full accounting functions, tax compliance, audit coordination, and financial reporting.
Conduct thorough market research and analysis to identify suitable investment projects, monitor industry trends, and provide insightful recommendations. Lead a high-performing team, contribute to new business efforts, and manage the preparation of investment reports for the company.
The position entails serving as an in-house audit manager, overseeing coordination with an outsourced team to implement the internal audit plan for an IPO project. The responsibilities include collaborating with other engagement managers to formulate plans, executing audit procedures, preparing work papers and reports, and communicating results to the Audit Committee.
Conduct internal audit activities for small and non-complex projects, collaborating with the engagement manager to develop plans and execute procedures to achieve objectives. Communicate results, prepare reports, and support administrative tasks as assigned by the Division Director.
The position involves contributing to and leading small, non-complex internal audit projects, collaborating with the engagement manager and Division Director. The successful candidate will play a key role in planning, executing audit procedures, and communicating results while enjoying opportunities for professional growth and advancement.
Manage investor relations for subsidiary companies of group Holding,responsibilities include crafting investment messages, analyzing feedback, and serving as the primary contact for investor engagement.
Lead financial reporting and budgeting processes to optimize resource allocation, implementing robust controls for compliance and risk management in the role of Financial Controller.
The role involves overseeing financial planning, budgeting, forecasting, and management reporting for FMCG business group, facilitating decision-making through accurate and timely insights. It also requires collaboration with cross-functional financial teams, implementing process improvements, and conducting ad hoc analyses to support strategic goals and identify key financial risks.
This role is overseeing a team of three accountants as an accounting manager, responsible for coordinating their day to day activities. The primary focus involves finalizing accounting entries of PAE Standards.
The role involves managing and overseeing financial activities ,this role will also ensure compliance with corporate regulations, prepare financial reports, and supervise the accounting team.
The Accounting Manager position involves overseeing financial operations, including closing statements, budgeting, and ensuring compliance with accounting standards and tax regulations. The ideal candidate should have at least 5 years of managerial experience in accounting, possess strong knowledge of financial standards and tax laws, and be proficient in MS Office (especially Excel) and SAP-B1.
This role involves overall operation accounting and preparing financial reports. Responsibilities include maintaining accounting and financial policies and management information systems.Be a key person coordinate with auditor.
This job involves developing financial models, analysing data, and performing projections to support long-term financial strategy and investment decisions. It also requires assessing the feasibility of various company projects, conducting business valuations, and providing financial recommendations to drive portfolio growth and shape the organisation's financial health.
The role seeks a seasoned FMCG accountant with 4 years of experience to oversee diverse accounting tasks, including tax compliance and financial reporting. Attention to detail and teamwork are crucial in this responsible position.
This role revolves around identifying and capitalising on new opportunities for growth within the financial markets. This includes expanding client relationships, exploring strategic partnerships, and creating innovative strategies to enhance the firm's market presence and overall profitability.
Responsible for evaluating and executing M&A and investment opportunities, overseeing due diligence, managing stakeholder relationships, and developing financial models and reports for feasibility studies.
This is a Reporting and Budgeting Specialist - Manager role at a company that distributes aluminum alloys, premium grade steel products, and metal sheet roofing and walling systems, with an IPO plan in Q3 2024. The role involves managing the corporate financial reporting process, developing and maintaining accounting policies, preparing budgets, and leading financial reporting projects.
This job is for an Accounting and Finance Manager with experience in operations in a public company or audit firm, and at least three years of experience in a supervisor level. The role involves managing two accounting and finance teams, improving the SAP system, preparing account statements, and overseeing financial planning and internal control compliance to drive performance.
Oversees financial planning and accounting activities, ensures compliance with internal controls, prepares financial statements, coordinates with external auditors, manages tax matters, and develops relationships with external contacts such as auditors, financial advisors, and bankers.Improving SAP systems and converting financial documents to PAE standard.
The responsibility is to execute and oversee the monthly closing procedures of Holding Companies, with the aim of enhancing the ongoing progress and timeline. It involves conducting financial analysis, monitoring consolidation procedures, and preparing both consolidated and statutory financial statements.
The job involves developing and implementing investment strategies to maximise returns and mitigate risks, contributing significantly to the financial growth and stability of the organisation. It requires expertise in analysing market trends, evaluating risks, and making strategic investment decisions.
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