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The Treasury Kyriba Administration Analyst is the treasury functional owner of the Kyriba Treasury Management System, responsible for configuring, governing, optimizing, and supporting the platform to ensure effective treasury operations and reliable reporting. The role serves as the key liaison between Treasury, IT, and the Kyriba vendor, driving system improvements, user support, process automation, compliance, and digital transformation initiatives.
The Treasury Cash Management Analyst will be responsible for managing cash flow, analyzing financial data, and ensuring effective cash utilization within the company. This role is essential for supporting the accounting and finance department in the Energy & Natural Resources industry.
An opportunity for a Finance & Business Excellence Group Head to lead financial stewardship, business analytics, treasury management, systems governance, and continuous improvement initiatives. This Finance & Business Excellence Group Head position will play a critical role in shaping organisational performance through strategic financial leadership and data-driven decision-making.
The Accounting Senior Manager leads end-to-end accounting, financial reporting, treasury functions, and ensures the integrity of the company's books of accounts. This role also holds signatory responsibilities and drives compliance, accuracy, and strong internal controls.
The Finance Manager will oversee accounting, audit, treasury, tax, and reporting activities to ensure strong financial governance and compliance. This role plays a key advisory function to management, supporting strategic and operational decision-making.
As a key member of the leadership team, the Finance Director will act as the trusted finance partner to the General Manager, with significant influence over financial and operational performance. The role encompasses end-to-end responsibility for budgeting, forecasting, P&L management, compliance, audits, financial reporting, and driving strategic business decisions.
This Strategic CFO role is centred on driving business growth, scaling lending operations, and shaping long-term strategy rather than managing day-to-day finance operations. The CFO will partner closely with leadership to unlock new revenue streams, optimise capital deployment, and support rapid expansion.
This role is responsible for overseeing financial controls and reporting at a regional entity level. You will partner with senior stakeholders and finance teams to ensure accuracy, compliance, and actionable financial insights.
The Head of Finance is expected to lead the finance function of a diversified multinational business operating across manufacturing, wholesale retail, and professional services. The role will serve as a key business partner to senior management, driving financial performance, governance, planning, and operational decision-making.
The Tax Manager leads daily tax compliance, tax advisory, policy implementation, and risk management activities for the enterprise. The position provides direct support to the CFO and represents the company in key engagements with tax authorities and regulators.
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