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Staff Accountant

Job in Burnsville, Dakota County, Minnesota, 55337, USA
Listing for: Northern Tool
Full Time position
Listed on 2026-02-13
Job specializations:
  • Accounting
    Financial Reporting, Accounting Manager, Senior Accountant, Accounts Receivable/ Collections
  • Finance & Banking
    Financial Reporting, Accounting Manager, Accounts Receivable/ Collections
Salary/Wage Range or Industry Benchmark: 53000 - 70000 USD Yearly USD 53000.00 70000.00 YEAR
Job Description & How to Apply Below

Staff Accountant

At Northern Tool + Equipment we get up every day to serve the tradespeople who keep our country running strong and the weekend warriors who want to work like them. It’s our mission to make sure they have the right tools for the job, and an easy, hassle‑free experience at our store so they can get in, get out and get on with the job r top priority as a Staff Accountant is to maintain accurate accounting records for routine transactions and assist in the preparation of timely and reliable financial and operating reports.

This includes preparing trial balances, journal entries, adjustments, closing entries, and substantive account reconciliations. The role also supports analysis and interpretation of accounting data for management decision‑making. Your positive, professional, roll‑up‑your‑sleeves‑to‑help attitude contributes to our winning culture and makes sure we leave a lasting impression.

Key Responsibilities General Ledger & Journal Entries
  • Maintain general ledger accounts within assigned areas of responsibility. Prepare monthly journal entries in accordance with the established close calendar. Primary areas of focus include, but are not limited to, advertising, prepaid expenses, corporate Pcard accounting, and monthly accounts payable balances and accruals.
  • Account Reconciliations
  • Perform timely and accurate balance sheet account reconciliations using various reconciliation tools and systems, including Trin Tech Cadency, Microsoft Dynamics D365, JD Edwards, and Microsoft Excel. Reconcile balances to subledger activity and/or appropriate supporting documentation. Utilize strong Excel skills, formatting standards, and automation techniques to efficiently reconcile high‑volume transactional data. Investigate and resolve reconciling items, perform root‑cause analysis of discrepancies, and execute corrective actions.

    Proactively communicate reconciliation issues or concerns to reviewers and management.
  • Cross‑Functional Business Partnership
  • Partner professionally with global, cross‑functional teams to interpret, process, analyze, reconcile, and report on accounting and financial areas of ownership.
  • Team Support & Backup Coverage
  • Act as a backup and support the global accounting team by assisting with staff accountant responsibilities, including fixed assets and capital projects, payroll and benefit accruals, corporate cash accounting, and daily banking activities, as needed.
  • Financial Data Accuracy & Review
  • Review account activity and postings throughout the month‑end close process to ensure accuracy, completeness, and reasonableness of balance sheet and income statement accounts. Stay prepared throughout the month to streamline tight close calendar deadlines.
  • Close Process Execution
  • Complete assigned monthly, quarterly, and annual close activities within established deadlines. Leverage the Trin Tech Close module to track and maintain compliance with close requirements.
  • Financial Analysis & Reporting
  • Prepare monthly profit and loss variance analyses comparing actual results to budget. Complete substantive general ledger reconciliations, roll‑forward schedules, and other supporting analyses in formats designated by Finance management.
  • Process Improvement & Automation
  • Identify, recommend, and implement improvements to accounting procedures, processes, and reporting that enhance efficiency, accuracy, and control. Promote automation and reduce manual data entry where possible.
  • Accounting Policy & Methodology Support
  • Annually review relevant accounting memos and assess the impact of accounting methodology changes. Discuss proposed changes and recommendations with management.
  • Audit Support
  • Support external audits by preparing assigned work papers and responding to auditor inquiries related to accounting policies, procedures, and reconciliations.
  • What you will bring to the table Education & Experience
    • Bachelor’s degree in accounting or finance required.
    • 0–3 years of progressive accounting experience; retail industry experience a plus.
    Technical & Professional Knowledge
    • Working knowledge of Generally Accepted Accounting Principles (GAAP), substantive balance sheet account reconciliations, and financial…
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