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RP Constructors, LLC
Project Accountant
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Based on South Dakota data
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What they do
A Project Accountant organizes and maintains financial records for a project. Creates project accounts and oversees project expenses and billing. Monitors project budget and budget variances.
$80,843 / year median in South Dakota
+4% projected growth
Job Description
Project Accountant RP Constructors, LLC N Sioux City, SD Job Details Full-time 22 hours ago Qualifications Accounting experience within construction industry Project reporting Financial close processing Construction payment applications Accounts receivable management Project documentation Balance sheet Mid-level Accurate transaction records management Client invoicing Aged receivables report Job order costing Financial records management Compliance documentation Payroll Closing the books Construction accounting Full Job Description Position Summary The Project Accountant owns customer/project billing, accounts receivable, project financial reporting and detailed project-accounting support. The role is a highly involved financial partner to Project Managers and ensures billing, billed-to-date and WIP information are accurate and tied to the accounting records. Core Accountabilities Project Billing & AR Prepare and manage customer/project billings and accounts receivable follow-up. Maintain billing schedules, contract billing requirements, retainage and supporting documentation. Project Financial Reporting Maintain project-level financial information and provide PMs with visibility into billing, cost, WIP and receivables. Perform month-end tie-outs between invoicing, billed-to-date and WIP. Job Cost & WIP Support job-cost accuracy and WIP preparation/review. Investigate differences between project systems, billing and accounting records. PM Partnership Work closely with PMs on T&M documentation, billing support, change-order impacts and project financial questions. Compliance Support Support billing/payroll documentation related to Davis-Bacon, AIS and other project-specific compliance requirements as assigned. Coordinate with HR/payroll/compliance personnel rather than independently owning technical compliance interpretation. Month-End Complete project-accounting schedules and reconciliations on the Controller's close calendar. Tie project balances to applicable balance-sheet and income-statement accounts.