Browse our jobs and apply for your next role.
The right candidate is just a few clicks away.
PageGroup changes lives for people through creating opportunity to reach potential.
If you have any questions, we’re here to help.
This role sits within the General Ledger team, focusing on grant accounting and project financial management. You will lead a small team while ensuring accurate reporting, compliance, and timely closing of accounts.
This role leads group-wide financial consolidation, statutory reporting, audit and tax compliance, while delivering accurate, compliant financial statements and management insights. It also drives budgeting, technical accounting advisory, process improvements and team development across group and private entities.
This is a front office Corporate Treasury / Investment Trader role within a regional treasury centre, offering direct exposure to money market investments and bond portfolio execution. It presents an opportunity to work in a high-impact team while collaborating with global treasury stakeholders.
You will play a crucial role in handling the day-to-day operations of the AR department, ensuring accurate and timely processing of collections, receipting, and refunds, and contributing to the overall efficiency of the organization.
This role sits at the HQ, supporting consolidation, financial reporting, governance and strategic initiatives across multiple entities. Reporting into senior finance leadership, you will be responsible for ensuring the timely and accurate delivery of group financial information for both management and statutory reporting, while partnering with regional business units and external stakeholders.
As the Finance Executive within AP team, you will be responsible for managing vendor relationships, processing invoices accurately and efficiently, and ensuring timely payments while maintaining compliance with internal policies and procedures.
We are looking for an experienced Accountant (General Ledger) to manage financial records, ensure accurate reporting, and support month-end closing activities. This role is critical in maintaining the integrity of financial data and partnering with stakeholders to drive business insights.
You will take ownership of full set accounts for Singapore entities and group consolidation, cashflow management, and reporting across the region. This is a hands-on Group Accountant position suited for someone who enjoys being close to the numbers and involved in the daily running of finance.
This is a key Finance Manager opportunity to lead reporting activities within a fast paced manufacturing environment, partnering closely with senior stakeholders across multiple entities. The role offers strong exposure to group level reporting, process transformation, and team leadership within a growing organisation.
We are seeking a detail-oriented Accounts Executive to join a leading organisation in the retail industry. This temporary role focuses on delivering accurate financial management and reporting, balance sheet reconciliations, ensuring seamless accounting operations.
This role leads the regional treasury function, overseeing cash management, liquidity planning, funding, and financial risk management across multiple entities. Reporting to the CFO, the Treasury Manager plays a key role in strengthening treasury governance and supporting regional growth initiatives.
This is a Treasury Middle Office role within a centralised global treasury function, supporting legal documentation, treasury operations and systems across multiple APAC legal entities. The role offers broad exposure to global treasury activities and long‑term development opportunities.
This is an exciting newly created headcount supporting regional finance and tax operations. As a Tax & Finance Analyst, you will play a critical role in ensuring compliance, financial integrity, and supporting business decision-making across the region.This is an individual contributor role ideal for someone with strong analytical skills and a keen interest in tax and financial reporting within a multinational environment.
This is an exciting opportunity for an experienced finance professional to join a lean, high‑performing finance team supporting investment and family office activities. The role offers broad exposure across financial reporting, investment accounting, governance and business operations in a fast‑moving, entrepreneurial environment.
The FP&A Manager will lead all FP&A activities providing strategic insights to support decision-making within the energy and natural resources sector. This role requires strong analytical skills and the ability to communicate complex financial data effectively.
We are seeking an experienced Head of Tax to join our Tax & Accounting Advisory team, specialising in providing comprehensive tax services for both corporate and individual clients. The Tax Director will lead a team responsible for delivering end-to-end services that meet client needs, ensuring compliance with Singapore tax regulations, and optimising tax positions for businesses and individuals alike.
This is a senior Accounts Payable leadership role focused on building scalable, efficient AP processes to support rapid geographic expansion. The role blends operational ownership with continuous improvement, partnering closely with Finance and IT to future‑proof the AP function.
This role partners business leaders to deliver financial insights, drive strategic decisions, and manage financial performance across projects and service lines. You will lead FP&A activities while supporting bids, forecasting, and performance analysis in a dynamic environment.
This role drives business performance by integrating sales, financial, operational, and workforce metrics into actionable insights. You will partner cross-functionally to identify opportunities, improve processes, and ensure performance aligns with strategic goals.
This is a regional Financial Controller role supporting multiple APAC entities, combining hands‑on financial control with strategic business partnering. You will work closely with senior leadership to strengthen governance, improve processes, and embed financial discipline across complex operations.
This role will establish and lead the Group Compliance function, building a strategic, digital‑enabled and data‑driven framework that safeguards the organisation's licence to operate. The focus is on embedding compliance into business operations, shifting from retrospective oversight to proactive, predictive and business‑aligned risk management.
The Group Financial Controller leads group consolidation, reporting, and financial governance across a multi-country sales and distribution network. You will partner closely with the CFO and regional leaders to drive financial excellence and performance
The Credit & Collections Manager (Accounts Receivable) will oversee a team managing patient‑related collections, ensuring timely recovery of receivables and improving overall AR performance. The role focuses on optimising cashflow, strengthening processes, driving operational improvements, and supporting transformation projects, including enhancements related to SAP S/4HANA.
The successful incumbent will drive end‑to‑end M&A transactions, evaluate major capex programs, and provide portfolio valuation insights to senior leadership. The role is headquartered in Singapore with regional responsibilities and high visibility to Group C‑suite.If you have a track record in M&A / infrastructure finance and want to shape investments that power global trade, this is a rare opportunity to do it at scale.
This FP&A Manager role is a key finance business partner, responsible for driving budgeting, forecasting, performance analysis and management reporting at a global level. Based in Singapore HQ, the role provides critical insights to support strategic and operational decision‑making.
This temporary Accountant role within the insurance industry is ideal for a professional with a strong background in accounting and finance.
The Principal Transformation Specialist (OTC) leads the end‑to‑end design, governance, and performance optimisation of Order‑to‑Cash processes across all business units. The role drives major value by shaping the OTC strategy, enabling digital transformation, and partnering with cross‑functional teams to deliver streamlined, well‑controlled, and high‑performing operations.
This role supports regional financial planning, analysis, and performance reporting, partnering closely with commercial and leadership teams. You will translate financial data into insights that support pricing, growth, and strategic decision‑making across multiple markets.
The successful incumbent will help ensure that the company's inventory and revenue records are accurate, up-to-date, and well-controlled - a key part of reliable financial reporting.
Create Job alert to receive Accounting Finance jobs via email the minute they become available
Submit your CV to register with us and we will contact you if a suitable role becomes available.