Top Finance Jobs in Minneapolis, MN
The Head of FP&A will lead the financial planning and analysis team, develop forecasting and financial strategies, prepare executive reports, collaborate with departments for financial support, and drive business performance discussions, all while supporting Varo's expansion strategy and initiatives.
The AVP, Commercial Actuarial will lead the development of rating plans and predictive modeling for commercial insurance products, oversee a team, conduct competitive analysis, support compliance, and collaborate with various departments to optimize profitability and growth.
The Tax Manager will oversee tax compliance, treasury operations, and accounts payable. Key responsibilities include managing federal and state tax reporting, optimizing the company's tax position, and leading treasury processes while ensuring accurate vendor payments and financial reporting. The role involves cross-functional collaboration to drive process improvements.
The Head of Finance oversees financial planning, management, and reporting functions, providing strategic guidance, managing budgets and forecasts, producing financial reports, optimizing cash flow, ensuring compliance, conducting risk management, and leading the finance team to meet strategic goals.
As a part-time Payroll Specialist, you will be responsible for processing payroll, ensuring accuracy in payroll calculations, maintaining payroll records, ensuring compliance with tax regulations, and assisting the finance department with payroll-related inquiries and projects.
As a Global Payroll Specialist, you will process payroll for multiple countries, ensuring accuracy, compliance with regulations, and timely payments. Collaborate with local payroll providers and stakeholders to maintain payroll systems and address inquiries. Conduct audits, handle year-end processes, and stay updated with payroll legislation.
The Senior Accountant, Financial Reporting will support internal and external reporting, prepare SEC filings, financial statements, and collaborate with accounting, finance, and legal teams as well as external auditors. The role involves maintaining compliance with U.S. GAAP and SEC regulations while enhancing process improvements within a remote-first team environment.
As a Freelance Bookkeeper, you will track and report financial details, manage budgets, analyze financial data, and support month-end closing activities. You'll also handle vendor management and ensure alignment of finances with business processes, using Excel and accounting systems extensively.
The Sales Compensation Manager oversees the data and processes related to global sales commissions. Responsibilities include validating earnings calculations, managing incentive plan administration, identifying process improvements, and collaborating with various teams to ensure timely and accurate commission payments.
As an FP&A Analyst at Nylas, you will support financial planning and analysis, delivering data-driven insights and recommendations to enhance business strategy. This role involves financial modeling and partnering with various departments to analyze performance and develop forecasts.
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