Our Basingstoke based client is an entrepreneurial and growing business currently recruiting for a Financial Controller. Reporting to the Finance Director this role will have a broad exposure across the business, and responsibility spanning all companies across the Group. The position will also have responsibility for managing a team of 9 people covering management accounts, purchase ledger and sales ledger. Key areas of responsibility will include:Read More
Finance Director Jobs in Basingstoke
Established in 1980, CMA Recruitment Group is the Souths leading independent Accountancy and Finance, Executive and HR consultancy, with a diverse client portfolio, which is why at any time CMA will be assisting a broad spectrum of clients from listed corporates, venture capital backed enterprises to SMEs with their Finance Director Jobs in Basingstoke.
CMA continues to identify, attract and secure the most talented individuals for Accountant Jobs in Southampton by utilising our extensive online presence, comprehensive in-house database, the latest social media tools and deep-rooted business relationships. CMA is also a major corporate sponsor of key professional student and member societies, ensuring our name is synonymous with Finance Director Jobs in Basingstoke.
Each year CMA Recruitment Group attracts over 25,000 Accountancy and Finance professionals, some of which are seeking Finance Director Jobs in Basingstoke. Office locations across the South Coast allow CMA to conduct face to face interviews with 100% of the candidates we represent, discussing their technical expertise and future career aspirations, as well as assessing their compatibility for Finance Director Jobs in Basingstoke.
Take the first steps towards your future career by reviewing our latest Finance Director Jobs in Basingstoke below.
Our client is based in Reading, Berkshire and due to growth they are currently recruiting for an additional Assistant Accountant. Reporting to the Finance Director the main responsibilities for a number of locations will be – •Processing all transactional duties •Production of monthly financial statements for the Board including consolidated Group accounts; •Month end accruals, prepayments and necessary journals •Balance sheet reconciliation of all accounts on a monthly basis;Read More