We are offering an exciting opportunity in Minneapolis, Minnesota, for a Finance Manager. As a vital member of our team, you will play a key role the implementation and improvement various business processes, coordinating annual budgeting and quarterly forecasting, and preparing detailed monthly financial reports. You will also play a crucial role in advancing the quality of internal business reporting and providing financial analysis.
Responsibilities:
• Drive the implementation and improvement of financial processes.
• Coordinate with the Group FP& A team for submissions related to annual budgeting and quarterly forecasting.
• Facilitate monthly/quarterly reporting tasks, including the development and reporting of KPIs.
• Build and set up forecasting and financial models to aid in financial planning and analysis.
• Prepare detailed monthly financial reports and analysis packs, liaising with various business units across the company.
• Advance the quality of internal business reporting, including digitalization of reporting via tools.
• Maintain a full working knowledge of the P& L and Balance Sheet.
• Collaborate and communicate clearly with team members and stakeholders, demonstrating flexibility and innovation in managing multiple priorities and workflow.
• Utilize Microsoft Office products efficiently, with advanced skills in Excel required.
** If you are interested in being considered for this opportunity, please apply, and find me, Courtney Clark, on LinkedIn. **
• BA/BS degree in finance, accounting or a related field
• Minimum of 5 years of experience in a Financial Planning & Analysis role or similar
• Strong understanding and experience in the full P& L
• Demonstrated ability in Financial Modeling
• Knowledge of Balance Sheets and Income Statement
• Experience in KPI Reporting and Development
• Excellent Communication Skills, both written and verbal
• Advanced skills in Microsoft Excel
• Experience with data visualization tools such as Power BI or Tableau