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We are looking for a Staff Accountant to join our banking team in Twin Cities Minnesota. In this role, you will help maintain accurate financial records, support core accounting, and contribute to timely financial and regulatory reporting. This position is best suited for someone who works well independently, manages multiple priorities effectively, and is comfortable working on-site five days per week.
Job Responsibility
Handle recurring accounting activities across daily, monthly, quarterly, and annual cycles, including work tied to loans, credit loss reserves, fixed assets, payables, cash, real estate owned, and employee benefit accounts
Produce financial reports and supporting statements that provide leadership, the Board, and oversight committees with clear and accurate insight into the bank’s performance
Support the completion of regulatory filings, including quarterly banking reports and required annual documentation, with careful attention to accuracy and deadlines
Reconcile general ledger accounts on a regular schedule and investigate discrepancies to ensure balances are complete and reliable
Contribute to the month-end close by preparing entries, reviewing account activity, and confirming that transactions are recorded in a timely manner
Review accounting workflows, identify opportunities for improvement, and recommend practical changes that increase efficiency and strengthen controls
Coordinate assigned department projects and help keep implementation efforts on track through effective planning, follow-up, and communication
Act as an accounting contact for cross-functional initiatives, including budget support, audit preparation, regulatory examinations, and merger-related purchase accounting tasks
Perform all duties in accordance with applicable banking regulations and compliance requirements, including BSA, the Patriot Act, and OFAC guidelines
Requirements
A degree in Accounting or a combination of related education and practical experience that supports success in the role
At least 2 years of accounting experience, preferably in a banking or financial services environment
Working knowledge of journal entries, general ledger activity, account reconciliations, and month-end close procedures
Experience preparing financial statements, management reports, and other accounting documentation with a high level of accuracy
Proficiency in Microsoft Excel and Word, including the ability to build spreadsheets that support financial calculations and analysis
Strong problem-solving skills with the ability to make sound decisions and apply good judgment in day-to-day work
Ability to manage multiple deadlines in a fast-paced setting while maintaining organization and attention to detail
Willingness and availability to work on-site five days per week in Falcon Heights, Minnesota
What we offer
Medical, vision, dental, and life and disability insurance