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We are looking for a meticulous and experienced Project Accountant to manage financial operations for construction projects in Ft. Lauderdale, Florida. This role is crucial in ensuring accurate billing, cost tracking, and compliance with contractual requirements while supporting the project team in achieving seamless project completion. You will collaborate closely with Project Managers and utilize advanced construction management tools to maintain financial integrity.
Job Responsibility:
Prepare and process detailed owner billings, ensuring accuracy and compliance with project documentation requirements
Monitor and maintain cost reports to track financial performance and identify areas for improvement
Manage billing procedures for Guaranteed Maximum Price contracts and oversee lien release tracking
Analyze project budgets, identify variances, and collaborate with Project Managers to address discrepancies
Utilize software platforms such as Procore for project management and Textura for payment processing
Ensure all financial records comply with company standards and contractual obligations
Support the operations team in achieving smooth and timely project closeouts
Conduct thorough reconciliations of accounts, including general ledger and bank reconciliations
Oversee documentation related to construction accounting and ensure proper handling of AIA billing and documents
Provide strategic financial insights to enhance project efficiency and performance
Requirements:
Proven experience as a Project Accountant within the construction industry
Strong knowledge of Guaranteed Maximum Price contracts and lien release processes
Proficiency in construction accounting practices, including AIA billing and documentation
Familiarity with software platforms such as Procore and Textura for financial management
Exceptional attention to detail and organizational skills
Ability to track budgets, perform cost reporting, and analyze financial variances effectively
Strong communication and collaboration skills to work with cross-functional teams
Solid foundation in general ledger management, account reconciliation, and bank reconciliations
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