Financial Control Analyst at vTech Solution Inc
White Plains, NY 10601, USA -
Full Time


Start Date

Immediate

Expiry Date

19 Oct, 25

Salary

36.0

Posted On

20 Jul, 25

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Sap, Fee Schedules, Communication Skills, Analytical Skills, Finance, Cost Accounting

Industry

Financial Services

Description

Job Title: Financial Controls and Accrual Analyst
Duration: 12 Month Contract
Location: White Plains, NY (Hybrid)

SKILLS

  • Excellent organizational and planning skills are required.
  • Strong written and oral communication skills are required to effectively communicate with customers as well as program staff and management.
  • Strong working knowledge of Microsoft Office Suite is required.
  • Strong knowledge of SAP is preferred.
  • Familiarity with Primavera is preferred.
  • Strong analytical skills are required.
  • Proficient in Cost Accounting and/or Accounting methods and theory.
  • General understanding of fee schedules.
  • General understanding of contract terms and conditions is preferred.
  • Ability to provide support on statewide initiatives is required.

EDUCATION & CERTIFICATIONS

  • Bachelor’s Degree in Business Administration, Finance, or Accounting is preferred.
    Apply if interested!
    Job Type: Contract
    Pay: $25.00 - $36.00 per hour
    Work Location: Hybrid remote in White Plains, NY 1060
Responsibilities
  • Review project invoices and approvals to ensure correct SAP purchase order number, account assignment, dollar value, approval levels, verify available funding, and backup documentation.
  • Prepare and post monthly accruals journal entries, ensuring accurate allocation of expenses and revenue to the appropriate periods.
  • Provide essential assistance in the preparation of the Quarterly Financial presentation and consolidated financial package, contributing to accurate and insightful reporting.
  • Collaborate in the production of the Monthly Financial Package, ensuring timely delivery of accurate financial information to internal stakeholders.
  • Coordinate project reconciliation process with Engineers based on construction completion milestones. Analyze and identify variances between SAP and Engineers’ final scope of work for material, labor, fees, abatement, and other associated costs.
  • Prepare financial closeout of project in SAP including closeout of all contract dollar commitments, verification of 100% billing for project cost recovery, preparation of all accounting journal entries to reconcile SAP costs and final closeout memo.
  • Distribute all billing memos, closeout memos, journal entries to Accounting and Billing departments and for updates to Primavera.
  • Support Financial Controls staff.
Loading...