Senior Accountant na City of Brooklyn Center, MN
City of Brooklyn Center, MN · Brooklyn Center, Estados Unidos Da América · Onsite
- Senior
- Escritório em Brooklyn Center
About the Department
Position Duties
Finance business partner
- Acts as first point of contact for all accounting and finance-related questions within assigned departments.
- Works with assigned departments to maintain efficient and effective internal controls.
- Increases business acumen of staff by teaching good financial stewardship and training them on relevant accounting and finance-related topics.
- Responsible for accounting transactions.
- Performs month-end close out procedures.
- Prepares and analyzes annual and monthly financial reports.
- Coordinates financial information according to contracts as assigned.
- Maintains, coordinates and reconciles the cash receipts.
- Coordinates sales tax compliance.
- Performs weekly cash flow analysis.
- Reconciles tax statements and allocates the tax settlements from the county.
- Updates taxes and reconciles tax receivables.
- Assists the director of finance and departments on the annual budget.
- Prepares and files financial and budget reports, including year-end reports, to state and federal agencies as assigned.
- Performs financial forecasts and planning.
- Prepares monthly financial reports and analyzes data to identify trends, variances, and opportunities for improvement.
- Assists with the audit process, serving as liaison between assigned departments and external auditor.
- Conducts internal audits to ensure accuracy of data, compliance in practice, and overall good stewardship of funds.
- Prepares monthly bank reconciliation and journal entries for general and payroll checking accounts.
- Prepares and submits bond payments.
- Analyzes and reviews internal processes for continuous improvement.
- Provides back-up support for other staff as needed.
- Assists in other financial and/or accounting functions as directed by the director of finance.
- Other projects and other duties as assigned.
Minimum Qualifications
- Bachelor's degree in related field or equivalent experience.
- Advanced level of proficiency in Excel to include creation, including pivot tables and updating existing spreadsheets.
- Previous experience performing financial analysis and reconciliations.
- CPA or advanced degree preferred.
- Experience with municipal government finance.
- Budgeting and forecasting experience preferred.
- Experience with annual reports, Generally Accepted Accounting Principles (GAAP) and GASB.
- Familiarity with tax settlements, reconciliations, Tax Increment Financing (TIF) and special assessments.
- Familiarity with preparing and or coordinating the ACFR.
- Previous experience with finance computer applications.
Other Qualifications
Knowledge, Skills and Abilities
- Effective verbal and written communication and presentation skills with attention to detail and follow up
- Strong customer service skills.
- Committed to establishing a safe, productive, collaborative culture that values diversity, equity and inclusion. Able to build strong relationships with a wide variety of people.
- Exercises sound good judgment, is resourceful, curious and has the ability to solve problems effectively. Able to preserve confidentiality.
- Ability to effectively give and receive feedback. Ability to use tact and diplomacy.
- Takes initiative. Able to work independently with little supervision.
- Detail oriented, dependable, organized, and able to prioritize.