Project Accountant

Thornton Construction CompanyOpa-Locka, FL
10d

About The Position

Thornton Construction is a construction management firm headquartered in Miami, Florida. With over 25 years of experience, we specialize in bringing top-quality institutional, commercial, and residential projects to life. From new construction to renovations, we deliver personalized, professional, and cost-effective services that exceed our clients’ expectations.

Requirements

  • BACHELOR’S DEGREE IN ACCOUNTING.
  • ABILITY TO ADAPT TO DIFFERENT PERSONALITIES AND MANAGEMENT STYLES.
  • PROFICIENCY IN MICROSOFT OFFICE AND ADOBE ACROBAT.
  • GOOD COMMUNICATION SKILLS, BOTH WRITTEN AND ORAL.
  • KNOWLEDGE OF NOTICE TO OWNER, CERTIFICATES OF INSURANCE, AND LIEN RELEASE PROCEDURES REQUIRED.

Nice To Haves

  • BILINGUAL (ENGLISH/SPANISH) PREFERRED.
  • FAMILIARITY WITH AN AUTOMATED ACCOUNTS PAYABLE SYSTEM.
  • SAGE 100 SOFTWARE KNOWLEDGE PREFERRED.
  • KNOWLEDGE OF PAPERLESS ENVIRONMENT SOFTWARE A PLUS (PVAULT).
  • KNOWLEDGE OF AIA FORMAT BILLING PROCEDURES.

Responsibilities

  • ENSURE ALL INVOICES ARE UPLOADED TO PAPERLESS SYSTEM AND ARE PROPERLY CODED AND ROUTED TO THE APPROPRIATE APPROVERS.
  • CHARGE EXPENSES TO ACCOUNTS, JOBS AND COST CODES BY ANALYZING INVOICE/EXPENSE REPORTS.
  • ENSURE VENDORS ARE PAID IN A TIMELY MANNER.
  • RECONCILE PROCESSED WORK BY VERIFYING ENTRIES AND COMPARING SYSTEM REPORTS TO BALANCES.
  • PROTECT ORGANIZATION'S VALUE BY KEEPING INFORMATION CONFIDENTIAL.
  • MONITOR VENDOR ACCOUNTS TO ENSURE PAYMENTS ARE UP TO DATE.
  • RESPONSIBLE FOR SUPPORTING A POSITIVE, PROFESSIONAL, TEAM-ORIENTED WORK ENVIRONMENT.
  • PROVIDES CUSTOMER SERVICE AND SUPPORT TO INTERNAL CUSTOMERS AND VENDORS WITH RESPECT TO VARIOUS ACCOUNTS PAYABLE AND RELATED ACCOUNTING INQUIRIES, EXPENSE REPORTS, ETC.
  • RESPOND TO INQUIRIES FROM SENIOR MANAGEMENT TEAM AND PROJECT MANAGEMENT.
  • PROCESS AND CODE INVOICES AND SUBCONTRACTOR PAY APPLICATIONS IN PAPERLESS ENVIRONMENT AND ROUTE TO APPROPRIATE PERSONNEL FOR APPROVAL.
  • UPLOAD APPROVED TRANSACTIONS TO ACCOUNTING SOFTWARE.
  • WORK WITH PROJECT MANAGERS TO ENSURE INVOICES ARE APPROVED ON A TIMELY BASIS AND ALL OPEN TRANSACTIONS ARE PROCESSED WITHIN THE APPROPRIATE ACCOUNTING PERIOD.
  • CODE AND MATCH INVOICES TO SUBCONTRACTS AND PURCHASE ORDERS.
  • MAINTAIN DAILY CHECK LOG.
  • PAY EMPLOYEES BY RECEIVING AND VERIFYING EXPENSE REPORTS AND PREPARING CHECKS.
  • INITIATE AND FOLLOW UP ON OUTSTANDING VENDOR COMPLIANCE ISSUES TO ENSURE THEY ARE COMPLETED TIMELY.
  • PREPARE WEEKLY CHECK RUNS AND SUBCONTRACTOR PAYMENT PACKAGES.
  • COMMUNICATE WITH PROJECT MANAGERS TO VERIFY VENDORS ARE PROPERLY PAID WHEN OWNER PAYMENTS ARE RECEIVED.
  • SEND PAYMENT PACKAGES AND COMMUNICATE WITH SUBCONTRACTORS TO ACQUIRE NECESSARY DOCUMENTS FOR PROCESSING OF PAYMENTS (I.E. INSURANCE REQUIREMENTS, WAIVERS, BILLING PROCEDURES, ETC.).
  • VERIFY THAT RELEASES OR LIEN AND OTHER DOCUMENTS ARE IN COMPLIANCE WITH CONTRACT TERMS BEFORE RELEASING SUBCONTRACTOR PAYMENTS.
  • TRACK ALL NOTICES TO OWNERS (NTOS) AND ENSURE PROPER RELEASES OF LIEN ARE OBTAINED UPON PAYMENT.
  • VERIFY VENDOR ACCOUNTS BY RECONCILING MONTHLY STATEMENTS AND RELATED TRANSACTIONS.
  • RECONCILE CREDIT CARD STATEMENTS.
  • CORRESPOND WITH SUBCONTRACTORS AND VENDORS AND RESPOND TO INQUIRIES.
  • GATHER BACKUP AND ENTER THE MONTHLY OWNER REQUISITIONS, MANAGE THE ACCOUNTS RECEIVABLE.
  • PROCESS SUBCONTRACTOR CHANGE ORDERS AND MONTHLY BUDGET UPDATES.
  • WORK CLOSELY WITH PROJECT MANAGERS AND PROJECT EXECUTIVES ON ALL FACETS OF PROJECT ACCOUNTING.
  • RECONCILE COST PLUS PROJECTS OWNER PAYMENT REQUISITIONS AGAINST LEDGER AND MAKE ANY NECESSARY ACCRUALS BEFORE MONTH-END CLOSING.
  • ASSIST IN THE PREPARATION OF MONTHLY JOURNAL ENTRIES.
  • ASSIST WITH MONTH END CLOSING.
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