* Prepare percentage of completion calculations, review results, make entries in accounting system
* Treasury management including: reconcile daily cash transaction to bank balances, prepare and maintain 6-week and quarterly cash forecasts, point of contact for all cash issues
* Prepare various state tax returns including: Texas and Georgia sales tax, annual business returns for Texas and Georgia, property tax renditions, etc.
* AR collections. Improving process including implementation of monthly statements and demand letters to slow payers.
* Create ad hoc financial reports in Excel using pivot tables and intermediate formulas (vlook up, if/and statements, data validation)
* Prepare monthly accruals: payroll, accounts payable, property tax, etc.