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RH
Robert Half
Financial Analyst
Career Insights for Financial Analyst (General)
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Scorecard
Based on Minnesota data
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What they do
A Financial Analyst evaluates investment opportunities and makes recommendations to individuals and businesses. Analyzes the performance of different types of investments, studies business and economic trends and analyzes data to project company earnings
$88,488 / year median in Minnesota
-12% projected decline
Job Description
Description We are looking for a Financial Analyst to support planning, reporting, and performance analysis for a growing organization in Minneapolis, Minnesota. This role combines financial modeling, systems ownership, and cross-functional partnership to improve visibility into business performance and support timely decision-making. The ideal candidate brings strong analytical skills, experience with budgeting and forecasting, and the ability to turn complex data into practical financial insights.
Responsibilities:
- Manage the Vena platform as the primary functional owner, including configuration, model structure, reporting logic, data hierarchies, and AI-enabled planning capabilities.
- Lead the financial onboarding of acquired businesses by organizing source data, validating accuracy, and building reliable reporting pipelines from operational systems and NetSuite.
- Create and enhance management reports, dashboards, and automated analyses that provide leadership with clear and timely financial insight.
- Maintain a rolling three-statement forecast along with a 13-week cash flow model to support liquidity planning, profitability analysis, and debt capacity evaluation.
- Work closely with department leaders to develop, consolidate, and monitor functional budgets and support company-wide planning activities.
- Build and maintain allocation methodologies for service-related functions and embed them into budgeting and forecast models to improve consistency across reporting.
- Update long-range financial models to reflect evolving growth assumptions, utilization expectations, and capital planning priorities.
- Track post-acquisition earn-out metrics and prepare accurate calculations and reporting to support performance-based payment obligations.
- Prepare recurring financial packages, variance explanations, lender deliverables, and covenant reporting for external stakeholders, including investors and financing partners. Requirements
- 2+ years of experience in financial analysis, FP& A, or a related corporate finance role.
- Strong background in financial modeling, budgeting, forecasting, and variance analysis.
- Experience working with NetSuite and familiarity with planning or performance management systems such as Vena.
- Proficiency in building cash flow forecasts, three-statement models, and management reporting packages.
- Ability to analyze large data sets, identify trends, and translate findings into actionable business recommendations.
- Comfortable partnering with leaders across departments to support planning and performance management.
- Strong attention to detail with the ability to validate data quality and maintain reporting accuracy.
Benefits
- 401(k) Plans
- Health Insurance
- Dental Insurance
- Vision Insurance