Posted by Elite Finance Recruitment • £40K/yr to £42K/yr
Qualified Accountant- Nr Glasgow
Qualified accountant (CA or ACCA) or Qualified by experience required with audit experience for a small and friendly boutique practice based near Glasgow.
Pertemps are delighted to be working on behalf of a well-known organisation who are currently looking to add to their growing finance team with the appointment of a Management Accountant.
12 month fixed term contract Salary up to £46k DOE
Working within the Finance Team, you will be responsible for supporting the Finance Business Partner across all aspects of financial information including monthly reporting, reconciliations, budgeting, forecasting and ad hoc requests.
Posted by iMultiply Resourcing Ltd • £40K/yr to £45K/yr
IMultiply is working in partnership with a national accountancy practice that is looking to recruit a Supervisor to join its Accounting Insight Advisory team
The Practice provides tax, audit and assurance, advisory and business outsourcing services to companies across all sectors of the economy.
It is part of a global network and has offices in multiple locations in the UK.
Posted by iMultiply Resourcing Ltd • £35K/yr to £40K/yr
IMultiply is working in partnership with a well-established and highly regarded accountancy practice based in Glasgow that is looking to recruit an experienced accountant to join its team
A reputable and highly regarded independent accountancy firm based in central Glasgow.
The practice is well established with a loyal and longstanding client base.
Posted by Meraki Talent Limited • £37K/yr to £48K/yr
As a Fund Accountant, you will be responsible for maintaining accurate financial records for investment and hedge funds, ensuring compliance with regulatory requirements, and providing timely reporting to stakeholders.
Due to an enhanced period of growth, Meraki Talent are seeking an experienced Fund Accountant for a newly created position within the heart of Glasgow's Financial Services district.
You will play a crucial role in the financial operations of the fund, including calculating net asset values (NAVs), reconciling transactions, and preparing financial statements.