
Finance - Staff Accountant
Arrowhead Engineered Products, Blaine, MN, United States
Summary
Responsible for general ledger activities to ensure complete and accurate account reconciliations, issuing checks across parts of the organization, analysis, accruals, and fixed asset maintenance.
Duties
Ensure an accurate and timely monthly, quarterly and year‑end close; meet internal and external reporting deadline.
Timely completion of monthly account reconciliations.
Accurate preparation of journal entries as part of month‑end closing process.
Manage intercompany sales, payables and receivables, ensuring proper reconciliation and elimination at period end.
Support daily/weekly treasury functions by processing wires, checks, cash forecasting and other daily cash reporting functions.
Assist in updating documentation of processes and procedures.
Participate and partner with the finance team on key business initiatives.
Various audit schedules and functions as needed to support a clean and efficient year‑end audit.
Other duties as assigned.
Education And Qualifications
Bachelor’s degree in Accounting.
3+ years of related experience.
Private equity owned, public accounting and foreign currency experience a plus.
CPA, CMA or other appropriate certification, or desire to obtain certification.
Strong knowledge of GAAP and general ledger functions.
Experience with ERP systems (Sage and NetSuite a plus) and automation.
Advanced skills with Microsoft Excel.
Previous experience in accounting in a growing multi‑unit domestic and/or foreign company.
Physical Demands
While performing the duties of this job, the employee is regularly required to talk and hear. The employee frequently is required to stand; walk; use hands to finger, handle or feel; and reach with hands and arms. The employee may be required to sit for prolonged periods.
Working Conditions
Heated and air-conditioned office.
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Responsible for general ledger activities to ensure complete and accurate account reconciliations, issuing checks across parts of the organization, analysis, accruals, and fixed asset maintenance.
Duties
Ensure an accurate and timely monthly, quarterly and year‑end close; meet internal and external reporting deadline.
Timely completion of monthly account reconciliations.
Accurate preparation of journal entries as part of month‑end closing process.
Manage intercompany sales, payables and receivables, ensuring proper reconciliation and elimination at period end.
Support daily/weekly treasury functions by processing wires, checks, cash forecasting and other daily cash reporting functions.
Assist in updating documentation of processes and procedures.
Participate and partner with the finance team on key business initiatives.
Various audit schedules and functions as needed to support a clean and efficient year‑end audit.
Other duties as assigned.
Education And Qualifications
Bachelor’s degree in Accounting.
3+ years of related experience.
Private equity owned, public accounting and foreign currency experience a plus.
CPA, CMA or other appropriate certification, or desire to obtain certification.
Strong knowledge of GAAP and general ledger functions.
Experience with ERP systems (Sage and NetSuite a plus) and automation.
Advanced skills with Microsoft Excel.
Previous experience in accounting in a growing multi‑unit domestic and/or foreign company.
Physical Demands
While performing the duties of this job, the employee is regularly required to talk and hear. The employee frequently is required to stand; walk; use hands to finger, handle or feel; and reach with hands and arms. The employee may be required to sit for prolonged periods.
Working Conditions
Heated and air-conditioned office.
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