We are offering an exciting opportunity for a Controller to join our team in Woodbury, Minnesota. As a Controller, you will be responsible for overseeing financial operations, ensuring compliance, and aligning financial strategies with our organization's goals.<br><br>Responsibilities:<br><br>• Overseeing and managing all aspects of the general ledger, including the monthly, quarterly, and annual closing processes.<br>• Preparing financial statements and management reports in a timely and accurate manner.<br>• Managing daily accounting tasks, such as accounts payable and receivable, payroll, and general ledger maintenance.<br>• Ensuring compliance with regulatory requirements and internal policies.<br>• Developing, implementing, and monitoring internal controls to protect assets and ensure the integrity of financial reporting.<br>• Leading the accounting team and fostering a culture of excellence and continuous improvement.<br>• Collaborating with department leaders to support financial planning.<br>• Implementing process improvements and leveraging technology to enhance financial operations.<br>• Partnering with leadership to develop and execute financial strategies that support growth and profitability.
<p>We are looking for a detail-oriented and experienced Assistant Controller to join our team in Golden Valley, Minnesota. This role involves working closely with the Corporate Controller to oversee and enhance the company’s accounting and financial operations. The ideal candidate will thrive in a fast-paced, growth-oriented environment and possess exceptional organizational and communication skills.</p><p><br></p><p><strong>Key Responsibilities:</strong></p><ul><li>Assist in preparing and delivering monthly, quarterly, and annual consolidated financial reporting packages for internal management and external stakeholders.</li><li>Support acquisition integration efforts, including data mapping and merging legacy accounting systems into Deltek Vantagepoint.</li><li>Review and streamline accounting processes across multiple business areas, implement best practices, and ensure consistent policies and procedures organization-wide.</li><li>Manage the monthly close process for one of the organization’s regional operations, including journal entries, financial statement preparation, and account reconciliations.</li><li>Ensure all transactions comply with company policies and U.S. GAAP standards and are well-documented and reviewed accordingly.</li><li>Generate accurate and timely regular and ad hoc management reports.</li><li>Collaborate on the preparation of documentation for annual audits and tax filings, and address follow-up queries from auditors and tax preparers.</li><li>Assist in evaluating significant accounting transactions and in preparing for the organization’s annual FAR audit.</li><li>Ensure compliance with federal, state, and local reporting requirements and tax regulations.</li><li>Conduct monthly financial analyses to identify trends, variances, and areas for business improvement.</li><li>Participate in the annual budgeting and forecasting processes.</li><li>Contribute to financial due diligence for potential acquisitions.</li></ul>
We are in search of a Controller to join our team in Saint Paul, Minnesota. This role is pivotal in managing our financial operations and ensuring the accuracy of our records. The Controller will have a hand in various functions, from overseeing the general ledger to managing accounts payable and receivable, all while ensuring compliance with financial regulatory requirements.<br><br>Responsibilities:<br>• Oversee the general ledger and manage the end of month closing processes.<br>• Assist in the development of budgets and perform variance analysis to guide strategic decision-making.<br>• Collaborate with production to account for and manage inventory, including cost analysis and valuation.<br>• Ensure our financial operations are in compliance with all regulatory requirements and prepare necessary reports for federal, state, and local authorities.<br>• Utilize the Epicor ERP for all accounting functionalities, ensuring the accuracy and integrity of system data.<br>• Prepare necessary documentation and provide support during internal and external audits.<br>• Efficiently manage accounts payable and receivable functions to ensure timely processing of invoices, payments, and collections.<br>• Handle administrative tasks related to accounting, including document management, filing, and coordination with other departments to ensure financial data accuracy.
We are looking for an experienced Controller to join our team in the construction industry, based in White Bear Township, Minnesota. As a Controller, you will be responsible for overseeing audits, preparing financial statements and reports, and coordinating with audit firms. <br><br>Responsibilities<br><br>• Take ownership of audits, ensuring they are conducted accurately and timely.<br>• Coordinate with audit firms to address any issues and answer questions.<br>• Prepare comprehensive financial statements.<br>• Execute month-end close procedures.<br>• Handle any tedious requests, ensuring all tasks are completed efficiently.<br>• Review audit requests and ensure everyone is on track.<br>• Implement process improvements where necessary.<br>• Manage corporate treasury functions.<br>• Oversee cost accounting in a manufacturing setting.<br>• Prepare monthly reports.<br>• Utilize SAP for various tasks and processes.<br>• Maintain the Consolidated Financial Statements and Consolidated Balance Sheet.
<p>We are looking for an experienced Assistant Controller to join our team where you will provide vital support to the Global Controller, overseeing accounting and cost accounting functions across domestic and international entities. You will play a key role in ensuring financial accuracy, compliance, and effective reporting, while fostering a culture of continuous improvement within the team.</p><p><br></p><p>Responsibilities:</p><p>• Lead and oversee accounting and cost accounting activities in line with organizational policies, ensuring accurate financial data and reporting.</p><p>• Manage and streamline the monthly close process, identifying opportunities for efficiency and improvement.</p><p>• Maintain accounting system hierarchies to support reporting for multi-entity domestic and global structures.</p><p>• Conduct analytical reviews to identify income statement, balance sheet, and cash flow variances from budgets and prior years.</p><p>• Collaborate on integration, reorganization, and process improvement initiatives.</p><p>• Partner with Legal and Tax teams to create agreements that manage complex intercompany transactions.</p><p>• Recruit, train, and develop team members while fostering a culture of growth and continuous improvement.</p><p>• Ensure compliance with internal control procedures for general accounting, cost accounting, financial reporting, inventory, and manufacturing.</p><p>• Oversee capital expenditure processes, ensuring proper documentation, justification, and depreciation rates.</p><p>• Manage external audits for multiple global entities, ensuring compliance with local accounting standards and regulations.</p>
We are looking for an experienced Controller to join our team in Stillwater, Minnesota. In this role, you will oversee all aspects of financial management, including accounting operations, financial reporting, budgeting, and compliance. The ideal candidate will bring a strategic approach to financial decision-making and have a strong background in the healthcare industry.<br><br>Responsibilities:<br>• Manage the general ledger and ensure the accuracy and completeness of all financial records.<br>• Prepare monthly, quarterly, and annual financial statements in compliance with applicable accounting standards.<br>• Oversee accounts payable, accounts receivable, payroll, and other accounting functions.<br>• Develop and implement accounting policies and procedures to ensure operational efficiency.<br>• Lead budgeting and forecasting processes, including monitoring performance and analyzing variances.<br>• Provide financial analysis to identify trends, risks, and opportunities for improved performance.<br>• Ensure compliance with federal, state, and local regulations, while maintaining internal controls to safeguard assets.<br>• Supervise the preparation for annual external audits and manage the annual 1099 process.<br>• Monitor and report on key performance indicators (KPIs) to support strategic decision-making.<br>• Supervise and mentor accounting staff, fostering a collaborative and productive work environment.
<p>We are looking for an experienced Controller to oversee accounting and financial operations at our Hudson, Wisconsin area facility. This role is pivotal in ensuring accurate financial reporting, effective budgeting, and compliance with internal controls. The ideal candidate will provide strategic financial insights to support business decisions while maintaining a hands-on approach to day-to-day accounting processes.</p><p><br></p><p>Responsibilities:</p><p>• Manage daily accounting operations including accounts payable, accounts receivable, payroll, and general ledger activities.</p><p>• Oversee month-end and year-end closing processes, ensuring timely and accurate financial reporting.</p><p>• Develop and implement budgets, forecasts, and financial plans in collaboration with leadership.</p><p>• Analyze financial performance and key metrics, delivering actionable recommendations to improve operations.</p><p>• Coordinate with external auditors, tax consultants, and banking partners to ensure compliance and effective communication.</p><p>• Supervise and mentor accounting staff, fostering growth and collaboration.</p><p>• Enhance accounting systems and processes to improve efficiency and accuracy.</p><p>• Ensure adherence to regulatory requirements and internal policies.</p><p>• Collaborate with international teams to align financial reporting and operational strategies.</p><p>• Lead initiatives to improve cost accounting and financial analysis practices.</p>
<p>We are looking for a skilled Grant Accountant to join a team on a long-term contract basis in Saint Paul, Minnesota. This role involves managing post-award grant accounting processes, ensuring compliance with grant requirements, and maintaining financial accuracy through detailed reporting and reconciliation. The ideal candidate will have exceptional analytical skills, a solid understanding of grant management, and proficiency in advanced Excel functions.</p><p><br></p><p>Responsibilities:</p><p>• Manage post-award grant accounting tasks, including account reconciliation, salary reallocations, and the preparation of detailed financial reports.</p><p>• Ensure compliance with grant terms, organizational policies, and reporting guidelines, addressing discrepancies and escalating issues as appropriate.</p><p>• Reconcile accounts for grants of varying sizes, including high-volume small grants and larger research and development projects.</p><p>• Utilize advanced Excel tools to conduct financial analyses and manage grant-related data efficiently.</p><p>• Collaborate with cross-functional teams, including the Assistant Controller and Office of Research, to streamline grant accounting processes.</p><p>• Prepare and present accurate financial reports, oversee budget reallocations, and provide insights into project funding status.</p><p>• Effectively manage high volumes of grant accounting tasks while maintaining precision and proper documentation.</p><p>• Support onboarding processes for new staff, ensuring smooth knowledge transfer and continuity in grant accounting operations.</p><p>• Apply critical thinking to verify financial data accuracy and ensure compliance with organizational and grant-specific standards.</p><p><br></p><p>*Please note that all candidates are required to provide 2 recent supervisor or manager references in order to be considered for employment.</p><p> </p><p>Please submit your resume and call Jordan Lynch at 651-293-3973 for review and consideration.</p>
We are looking for a detail-oriented Staff Accountant to join our team in Osseo, Minnesota. In this role, you will play a key part in managing financial records and ensuring accurate reporting to support organizational goals. This position offers the opportunity to contribute to budgeting, account reconciliation, and audit processes while collaborating with various departments.<br><br>Responsibilities:<br>• Maintain and update financial records to ensure accuracy and compliance.<br>• Perform account reconciliations and resolve discrepancies promptly.<br>• Support the preparation and review of budgets and assist with month-end and year-end close processes.<br>• Participate in physical inventory counts and cycle counts to ensure accurate reporting.<br>• Manage Accounts Payable documentation and provide backup support for Accounts Receivable.<br>• Assist the Corporate Controller with financial tasks and special projects as needed.<br>• Respond to inquiries from management and auditors with timely and accurate information.<br>• Utilize accounting software such as NetSuite, Oracle, QuickBooks, and SAP to streamline processes and reporting.
We are looking for a skilled Cost Accounting Manager to oversee and enhance our cost accounting practices within the construction/contractor industry. Based in White Bear Township, Minnesota, this role focuses on analyzing product profitability, managing standard costs, and ensuring accurate financial reporting. This position is vital in driving informed decision-making through detailed cost analysis and strategic recommendations.<br><br>Responsibilities:<br>• Conduct comprehensive analyses of material, labor, fixed overhead, and variable overhead costs, identifying variances and devising strategies to mitigate them.<br>• Oversee the implementation and maintenance of costs for new part numbers, ensuring company-wide updates are accurate and timely.<br>• Review and manage obsolete inventory reserves, collaborating with the Controller to execute disposal procedures and adjustments.<br>• Partner with production teams to monitor scrap levels and establish effective disposal or return-to-vendor protocols.<br>• Supervise the cycle count program to maintain accurate inventory quantities and resolve discrepancies.<br>• Prepare for external audits by conducting price tests, developing schedules, and ensuring compliance with audit requirements.<br>• Participate in system enhancements to align with evolving organizational needs, improving cost accounting processes.<br>• Provide detailed cost forecasts and analyses for planning, budgeting, and "make vs. buy" decisions.<br>• Develop and implement policies to improve the efficiency and accuracy of the cost accounting department's operations.<br>• Perform other duties as assigned to support organizational goals.
We are looking for an experienced and strategic financial leader to join our team as the VP/Director of Finance in Roseville, Minnesota. This position offers a dynamic mix of hands-on financial management and accounting duties, paired with opportunities to lead and drive organizational growth. As part of a private equity-backed company, you will play a critical role in shaping financial strategies, analyzing market data, and presenting insights to key stakeholders.<br><br>Responsibilities:<br>• Lead and oversee the organization’s financial operations, including budgeting, forecasting, and cash flow management.<br>• Prepare and present financial reports to private equity stakeholders, ensuring accuracy and strategic alignment.<br>• Conduct detailed market analysis and manage large datasets to support business decision-making.<br>• Develop and implement financial models to optimize organizational performance.<br>• Supervise full-cycle accounting processes and ensure compliance with regulatory standards.<br>• Guide the team in leveraging tools such as Oracle and Power BI to enhance financial reporting and analytics.<br>• Collaborate with leadership to establish annual forecasts and long-term financial plans.<br>• Build and grow the finance team by recruiting and mentoring additional staff to support expanding operations.<br>• Drive improvements in controllership and internal financial processes.<br>• Provide strategic insights to support organizational growth and expansion.
We are looking for an experienced Director of Accounting to lead and manage the financial operations of our organization in Minneapolis, Minnesota. This role is ideal for someone with a strong background in accounting, particularly within the non-profit sector, who is eager to make a meaningful impact. As a key member of the leadership team, you will oversee financial reporting, compliance, and strategic planning, ensuring the organization's financial health and sustainability.<br><br>Responsibilities:<br>• Provide strategic leadership to the accounting department, ensuring compliance with nonprofit accounting principles and regulations.<br>• Oversee general ledger activities, including journal entries, month-end and year-end closings, account reconciliations, and bank reconciliations.<br>• Manage subsidiary ledgers for pledges and grants, ensuring accuracy and alignment with the general ledger.<br>• Coordinate accounts payable reviews, distributions, and reporting processes.<br>• Consolidate foundation accounting information into general ledger and detailed fund worksheets.<br>• Plan and execute annual audits, including preparing confirmations, audit workpapers, and reviewing consolidated financial statements.<br>• Oversee tax preparation tasks, including planning, creating tax workpapers, and reviewing tax returns.<br>• Handle donor-related activities such as selling stock gifts, maintaining records, and addressing donor inquiries promptly.<br>• Prepare and present quarterly and annual financial reports, including variance analyses and consolidated statements for external stakeholders.<br>• Collaborate on special projects as needed to support organizational goals and leadership initiatives.
We are offering an exciting opportunity for a Tax Manager - Public in Golden Valley, Minnesota, 55427, United States. This role involves managing multiple high-level tax engagements, formulating and delivering innovative tax planning, and providing client service. You will be identifying and capitalizing on business opportunities, working with staff to ensure tax returns are completed correctly, and performing research on tax topics. <br><br>Responsibilities:<br><br>• Manage multiple high level tax engagements ensuring effective execution and delivery<br>• Develop and implement innovative tax planning strategies<br>• Provide exceptional client service and foster business opportunities within our current client base<br>• Work collaboratively with staff to ensure individual and business tax returns are completed correctly and timely<br>• Analyze tax situations from various perspectives to apply the maximum tax benefit<br>• Conduct research on various tax topics and draw conclusions<br>• Lead, develop and mentor team members to enhance their skills<br>• Work with high level clients and review tax returns for accuracy<br>• Participate in business development and community involvement activities<br>• Understand the mindset of a business owner with entrepreneurial spirit<br>• Deliver exceptional customer service to our clients<br>• Participate in coaching employees and career development<br>• Stay up-to-date on the ever-changing tax industry’s regulations and policies.
We are offering an exciting opportunity for an Audit Manager - Public in Golden Valley, Minnesota, United States. The primary function of this role is to manage and oversee audit engagements, ensure compliance with accounting standards, and provide excellent client service. The role also involves business development and team management activities.<br><br>Responsibilities:<br>• Manage the execution and completion of audits, emphasizing internal controls and compliance testing<br>• Formulate audit strategies and ensure audit activities comply with relevant standards<br>• Identify potential audit risks and devise audit programs to address these risks<br>• Review and approve audit workpapers, reports, and financial statements to ensure accuracy and completeness<br>• Maintain quality and client service standards by ensuring audits are completed within budget and timelines<br>• Stay current with updates in governmental auditing standards, regulations, and accounting pronouncements, ensuring that audits comply with the latest requirements<br>• Build and maintain strong client relationships, understanding their audit needs, addressing questions, and effectively communicating findings and recommendations<br>• Assist in business development efforts, including proposals and networking within the government sector<br>• Provide ongoing feedback, training, and career development support to audit team members<br>• Ensure compliance with all Firm wide and local office policies and procedures.
<p>This role is 1 day a week in office, possibly 100% remote. Must have grant accounting experience, ideally at the 5-year level or more. </p><p><br></p><p>We are looking for a dedicated Grants Accounting Manager to join our team in Minneapolis, Minnesota. This role is pivotal in overseeing the financial management of grants from federal, state, and private sources, ensuring compliance with all regulatory and grant-specific requirements. The ideal candidate will lead budgeting efforts, supervise accounting staff, and collaborate with various teams to optimize financial processes.</p><p><br></p><p>Responsibilities:</p><p>• Manage the allocation, spending, and reporting of grant funds to ensure compliance with financial regulations and grant-specific requirements.</p><p>• Supervise a team of Grants Accountants, providing guidance and oversight on financial reporting for government, corporate, and foundation grants.</p><p>• Lead budget preparation initiatives, including reviewing match requirements and supporting program reforecasting and new grant planning.</p><p>• Ensure accurate revenue reporting and maintain net asset balances in alignment with organizational standards.</p><p>• Oversee audits and financial monitoring processes to ensure timely and accurate reporting.</p><p>• Collaborate with program and finance teams to streamline grant accounting processes and improve operational efficiency.</p><p>• Approve and submit financial reports for grants, ensuring accuracy and adherence to deadlines.</p><p>• Conduct special projects and tasks as assigned to support organizational goals.</p>
<p>Robert Half in Minneapolis is seeking an Accounts Payable Specialist! The Accounts Payable Specialist will be expected to handle high volume matching, batching and coding invoices. Other responsibilities include processing expense reports, updating and reconciling sub-ledger to the general ledger and processing checks. </p>
<p>Our client is looking to add a Tax and Accounting Manager to their small CPA firm. Busy seasons are 55 hours and Fridays off Memorial Day through Labor Day. Great firm that works primarily with small businesses doing all their taxes and accounting. Bachelors degree required. CPA or EA highly preferred. If you are interested, please reach out on LinkedIn @Jennifer Exsted.</p>
<p><strong>Job Title: Accounting Supervisor </strong></p><p><strong>Position Overview</strong></p><p>The Accounting Supervisor position is an individual contributor role, managing the accounting processes, not people. This role plays a vital role in supporting the mission of our client by ensuring accurate, timely, and compliant financial and operational processes. This role is responsible for managing the firm’s accounting functions, billing, payroll, benefits administration, and supporting human resources and facilities management. It is a central position that promotes financial integrity, operational efficiency, and organizational compliance across departments. This role will be 3 days/MONTH onsite in Minneapolis.</p><p><br></p><p><strong>Core Responsibilities</strong></p><p><strong>Financial Management & Accounting</strong></p><ul><li>Oversee cash flow, banking operations, and accounts payable activities</li><li>Perform monthly reconciliations of operating and IOLTA trust accounts</li><li>Prepare monthly and year-end financial reports (Trial Balance, Balance Sheet, Income Statement)</li><li>Lead month-end and year-end close processes</li><li>Maintain and troubleshoot financial software, including system updates</li><li>Record cash-related transactions</li><li>Allocate monthly credit card expenses to the general ledger</li><li>Develop, monitor, and report on annual budgets</li><li>Prepare and distribute Partner entitlements and related reports</li><li>Ensure compliance with tax filings and regulatory financial requirements</li><li>Maintain IOLTA trust accounting in accordance with legal standards</li></ul><p><strong>Billing & Invoicing</strong></p><ul><li>Develop and maintain monthly billing schedules</li><li>Generate, review, and finalize monthly pre-bills and invoices</li><li>Issue monthly client statements and address billing inquiries</li><li>Enter time entries daily and maintain accurate billing data</li><li>Manage billing rates for timekeepers and clients</li><li>Track and process costs from USPTO, foreign associates, and annuity providers</li><li>Produce monthly billing and timekeeping reports</li></ul><p><strong>Payroll & Benefits Administration</strong></p><ul><li>Process biweekly payroll and maintain employee compensation and PTO records</li><li>Administer employee benefits programs (health, dental, HSA, STD/LTD, COBRA)</li><li>Oversee 401(k) and retirement plans, and commuter benefits (parking, transit)</li><li>Manage Workers’ Compensation insurance and coordinate audit responses</li><li>Ensure compliance with federal and state payroll and benefits regulations</li></ul><p><br></p>
Job Summary<br>As the Accounting Manager you are responsible for managing all accounting functions, maintaining relationships with banks, auditors and other lenders, and providing accurate financial information to the management team. The accounting department includes 3 staff members to support you with the execution of the department’s responsibilities. <br><br>Schedule: 40 – 45 hours Monday thru Friday <br><br>What You’ll Do<br>• Work with your team of 3 employees to ensure the timely and accurate execution of daily accounting tasks<br>• Issue timely and complete financial statements<br>• Approve and process credits<br>• Manage lease renewals<br>• Assist with preparation of annual budget & forecasts<br>• Provide financial analyses for investments, pricing, contracts and other management activities<br>• Coordinate and provide requisite information for annual audit & other auditing firms<br>• Monitor company debts, covenants and other liabilities<br>• Comply with local, state and federal tax filings such as use & sales tax, 1099s etc.<br>• Update & maintain sales tax centers in our system<br>• Maintain relationship with banks, lending institutions, accounting firm, credit card processors, collection agencies and misc. other vendors.<br><br>The Talents You’ll Need to Be Successful<br>• Knowledge of GAAP and corporate accounting<br>• Knowledge of budget control methods, policies, and procedures<br>• Bachelor’s degree in Accounting, or Finance from an accredited college or university<br>• 5+ years of accounting experience for a small – mid-size company<br>• Supervision experience
<p>We are looking for an experienced Accounting Manager to lead and oversee the financial reporting and accounting operations for our client, a Financial Services firm in Minneapolis. This role requires a strategic thinker with a strong background in Financial Services who can collaborate across departments and influence senior leadership. The ideal candidate will bring exceptional problem-solving skills, technical expertise, and a commitment to fostering a positive and productive team environment.</p><p><br></p><p>Responsibilities:</p><p>• Oversee the preparation and delivery of accurate financial reports, including filings for audit committees and management.</p><p>• Maintain and enhance accounting policies and procedures while conducting technical research to ensure compliance with accounting standards.</p><p>• Manage accounting processes related to investment portfolio activities and transactions.</p><p>• Collaborate with the accounting team to improve processes, cross-train staff, and meet critical deadlines.</p><p>• Lead the monthly financial close process, including general ledger management, consolidations, and variance analysis.</p><p>• Coordinate with external auditors to support audit processes and ensure compliance.</p><p>• Assist investor relations teams with external communications and reporting.</p><p>• Partner with FP& A, Treasury, and Tax teams to update forecasting models using system-generated data.</p><p>• Develop and implement internal controls and draft technical memorandums for new transactions.</p>
<p>Robert Half is seeking a Global Consolidations an Financial Reporting Manager for the northern suburbs. This individual will be responsible for international operations and foreign consolidations. This is 75% of the role with 25% domestic. Ideal candidate will have public and industry with over 7+ years of experience. CPA/MBA preferred. Preferred NetSuite or MS Dynamics experience. </p><p>Participate and partner with the VP of Finance on key business initiatives such as working capital improvement and indirect spend analysis and cost reductions. Partner with the VP of Finance and Financial Accounting team to manage the external audit and ensure a clean and timely year-end audit with no material adjustments. This is a hybrid model. Salary up to $170k with bonus. If you are interested, please reach out to Steve Cashman on LinkedIn or call Steve at 612.446.5690. </p>
We are offering an opportunity for a VP/Director of Finance in Arden Hills, Minnesota. The individual will be responsible for overseeing the finance, accounting, budgeting, and financial reporting aspects of the organization. The role involves engagement with multiple departments, ensuring the organization's goals are met and new initiatives are properly funded. <br><br>Responsibilities:<br><br>• Plan and implement systems that fulfill the department's mission and goals efficiently and effectively.<br>• Provide leadership and day to day management of finance, accounting, tax, audit, business technology, risk management, purchasing, budgeting, financial reporting, and analysis, investment analysis, and management.<br>• Assure monthly financial statements provide an accurate picture of current financial conditions of the Organization consistent with generally accepted accounting practices (GAAP), nonprofit law, and organizational policy.<br>• Conduct internal audits to assure compliance and maintain business and financial records in accordance with financial accounting and reporting systems, controls, accountabilities, legal, tax, and audit parameters.<br>• Conduct financial and business analyses of potential new ventures and develop funding models and implementation plans.<br>• Manage all financial activities including cash flow management, investment management, analysis of capital projects, asset sales, and the safeguarding of all assets.<br>• Oversee the development of the annual operating budget, including all department and subsidiary budgets.<br>• Lead the decision-making process for real estate and major lease and buy activities.<br>• Communicate regularly with the audit/finance committee and the board of directors.<br>• Drive employee engagement and organizational performance by improving employee line of sight to strategic goals.<br>• Establish and implement finance and business technology efforts that effectively communicate and support organizational mission, goals, and strategic vision.<br>• Establish and maintain constructive and effective relationships with audit.
<p>We are looking for an experienced Accounting Manager/Supervisor to join our team in Bloomington, Minnesota. This Contract-to-Permanent position offers an excellent opportunity for a detail-oriented individual to lead and oversee key accounting functions. The ideal candidate will thrive in a dynamic environment and bring expertise in financial management, reporting, and process improvement.</p><p><br></p><p>Responsibilities:</p><p>• Manage and oversee all aspects of the accounting cycle, including accounts payable, accounts receivable, and payroll for 12 employees on a bi-weekly basis.</p><p>• Prepare and analyze income statements, cash flow statements, and other financial reports to ensure accuracy and compliance with GAAP.</p><p>• Supervise month-end close procedures and ensure timely reporting of financial results.</p><p>• Monitor daily cash flow activities and provide strategic recommendations to optimize financial operations.</p><p>• Utilize advanced Excel functions, such as pivot tables and VLOOKUP, to analyze and manage complex datasets.</p><p>• Support the team by stepping into various roles during peak periods or employee absences.</p><p>• Drive improvements in accounting processes and systems, including ERP platforms such as Oracle or NetSuite.</p><p>• Ensure compliance with internal controls and auditing standards while maintaining accurate financial records.</p>
<p>Our client is looking for an Accounting Manager with strong accounting and month end skills. In this role, you will be involved with operational accounting and inventory. Public accounting candidates are welcome to apply as well as straight industry candidates. Bachelors in Accounting is a must. Please reach out to me on LinkedIn @Jennifer Exsted.</p>
We are looking for an experienced and strategic Director of Finance to join our team in Saint Bonifacius, Minnesota. This role offers the opportunity to lead financial operations for a higher education nonprofit, managing budgets, financial reporting, and grant administration while collaborating closely with organizational leadership. If you thrive in a hybrid work environment and are passionate about driving impactful financial strategies, this position could be a great fit for you.<br><br>Responsibilities:<br>• Oversee and direct financial operations, including budgeting, forecasting, and reporting to ensure organizational goals are met.<br>• Manage the month-end close process to deliver accurate financial statements and insights.<br>• Develop and maintain effective budget processes, ensuring alignment with strategic objectives.<br>• Lead cash flow forecasting to optimize financial resources and ensure sustainability.<br>• Administer grant accounting and compliance for foundation, government, and federal grants.<br>• Collaborate with organizational leadership to align financial strategies with institutional goals.<br>• Supervise and mentor finance team members, fostering growth and development.<br>• Ensure adherence to financial regulations and best practices in all accounting processes.<br>• Analyze financial performance and provide actionable recommendations for improvement.<br>• Maintain relationships with external auditors and stakeholders to ensure transparency and accountability.