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The General Manager role with a client in the gems and jewellery industry will oversee the Accounting & Finance department to ensure efficient financial operations and compliance, along with that, this individual will look after P&L management, operations, and business expansion. This position in Mumbai demands expertise in financial management and strategic planning to drive operational success.
This role involves supporting private fund accounting, reviewing NAVs, financial statements, and investor reporting activities from a global capability center. It requires close coordination with fund controllers, tax advisors, auditors, and investor relations teams to ensure accurate financial reporting and compliance.
As a project accountant, you will manage end-to-end financials for projects, including billing, cost tracking, revenue recognition, and profitability, while ensuring proper documentation and compliance. The role also involves supporting month-end closing, reporting, and working closely with delivery teams and stakeholders to drive smooth execution and informed decision-making
The Head of Accounting will oversee and manage the accounting functions, ensuring compliance with regulatory standards and delivering accurate financial reporting. This role is based in Pune and requires expertise in the energy sector.
The Finance Controller will oversee all financial and accounting operations to ensure accurate reporting and compliance within the manufacturing industry. This role requires a detail-oriented professional to lead financial planning, budgeting, and analysis for the Chennai location.
The Sr Analyst - OTC role focuses on managing and optimising the Order-to-Cash process within the FMCG sector, specifically in Consumer Durables. This position requires strong analytical skills and expertise in Accounting & Finance to support business objectives effectively.
This is a strategic FP&A leadership role responsible for driving budgeting, forecasting, business performance analysis, management reporting, and decision support across business units. The role offers strong exposure to senior leadership, global business operations, and high-impact projects including cost optimisation, capex evaluation, profitability analysis, and financial modelling.
The Head of Corporate Development will drive mergers & acquisitions, financial modelling, and strategic evaluation initiatives for a large-scale manufacturing organisation. Based in Bengaluru, this role requires a seasoned finance professional with strong transaction experience and the ability to partner closely with leadership on growth agendas.
Lead commercial activities for large CAPEX projects, ensuring effective cost control, accurate forecasting, and transparent financial reporting. This position is based in Mumbai and requires a detail-oriented professional with expertise in accounting and finance.
The Corporate Development Lead (M&A) will oversee strategic mergers and acquisitions activities, focusing on deal sourcing, due diligence, and integration within the Tech/Software space. This role is based out of Delhi NCR and requires expertise in Corp Dev/M&A within tech/software/startup space.
The General Manager - Debt Fund Raising will be managing and executing debt financing strategies to achieve the financial goals of the organization. The role is based in Mumbai and focuses on the real estate development industry.
The GM-Consolidation role is a leadership position within the Accounting & Finance department, requiring expertise in financial consolidation and reporting processes. This position is based in New Delhi and is ideal for professionals with a background in Infrastructure industries are preferred.
DGM - Market/Business Analyst will focus on providing in-depth market analysis, financial insights and recommendations within the industry. This role requires expertise in market analysis, strategy and finance to support strategic decision-making and business growth.
The GM - Debt Fundraising will lead efforts to secure funding and manage financial strategies within the real estate industry. This role focuses on overseeing debt fundraising initiatives and maintaining strong relationships with financial institutions
The position of Manager FP&A requires a detail-oriented individual with expertise in accounting and finance to oversee financial operations and ensure regulatory compliance.
Join a fast-growing renewable energy company to develop and manage pricing models for large-scale power projects. Collaborate with cross-functional teams and the US finance group to support project valuation, optimization, and investor reporting.
The Technical Analyst (Manager) will provide advanced market intelligence, technical trading insights, and data-driven financial analysis to support trading and investment decision-making. This role requires strong expertise in technical charting, quantitative modelling, algorithmic trading strategies, and financial data analytics, along with the ability to interpret complex market trends and translate them into actionable trading strategies.
The M&A Integration Role involves overseeing and managing the integration of mergers and acquisitions of companies for the client within the packaging industry. The role is based in Ahmedabad and may require travel to target plants that need to be acquired
The Analyst - Corporate Development role is with a prominent technology firm. Based in Gurugram, it seeks a professional experienced in financial modelling, equity research, and M&A analysis.
The Senior Manager - Financial Reporting, Accounting & Compliance is responsible to lead and oversee critical finance sub-functions including General Ledger (GL) accounting, financial reporting, management information systems (MIS reporting), audit coordination, statutory and tax compliance, and related finance governance activities.
You will oversee and manage financial activities for the family office, ensuring effective cash flow management, taxation, controls, banking activities and financial planning. This role requires expertise in accounting and finance to support business objectives.
The Global Executive Vice President of Order to Cash will lead the end-to-end Order to Cash function, ensuring efficient processes, compliance, and strategic alignment with business objectives. This is a key leadership role in the Accounting GBS with a mature Global Capability Center
Responsible for overseeing the regulatory, risk and compliance professionals and driving the development and oversight of regulatory, risk and compliance strategies. The role conducts regular risk assessments and audits, collaborates with legal and business teams to interpret, and apply regulatory requirements and ensures alignment with company policies.
The Accounting Manager will oversee and manage all accounting operations within the Manufacturing Industry, ensuring compliance with financial regulations and company policies. This role requires knowledge in financial reporting, budgeting, forecasting, taxation, and process improvement.
Designation: Manager Controllership & Revenue AssuranceReports to: Finance ControllerLocation: Gurgaon
We are seeking an experienced Senior Treasury Manager to lead and enhance international treasury operations, driving liquidity optimization, risk management, and strategic financial initiatives. This role offers the opportunity to play a key part in deploying global treasury processes and supporting business growth in a dynamic, fast-evolving environment. Location: Mumbai City | Role: Senior Manager - Treasury
The Manager - Treasury Systems will be responsible for overseeing and optimising the treasury systems to ensure efficient financial operations within the organisation. This role requires expertise in managing treasury platforms and ensuring compliance with the requirements of the energy and natural resources sector.
-Lead end-to-end debt fundraising and manage relationships with banks, credit rating agencies and financial institutions.-Work closely with senior leadership to support funding, refinancing, and growth initiatives.
The FP&A Manager/Sr. Manager will play a key role in financial planning, analysis, and decision support within the FMCG sector. This position involves working closely with leadership to provide insights that drive strategic initiatives and operational efficiency .
The DGM Accounts Receivable role focuses on overseeing all aspects of accounts receivable processes to ensure timely collections and accurate financial reporting. This position is ideal for professionals experienced in the property and real estate development industry who are adept at managing financial operations.
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