Construction Accountant

Bluejack National/Human ResourcesMontgomery, TX
Onsite

About The Position

One of Airetel Staffing's valued clients is looking for a Construction Accountant located in Montgomery, TX. The role involves performing basic accounting procedures, managing month-end and quarterly closings, preparing financial statements, and analyzing general ledger accounts. The position also includes responsibilities related to managing cash accounts, ensuring project contracts are valid, submitting bank draws, and communicating with clients for collections. The company culture emphasizes dependability, integrity, valuing people, speaking up, empowerment, and being remarkable. This role may also involve supporting special projects and providing guidance to staff accountants.

Requirements

  • Bachelor's degree in Accounting, Finance, Business or related field preferred but not required
  • 2+ years construction accounting experience is preferred
  • Strong organization, oral and written communication skills
  • Ability to work independently and manage multiple projects, deadlines, and companies requiring separate GLs and expense tracking
  • Strong computer aptitude, which includes expertise with Microsoft Excel
  • Experience with QuickBooks Enterprise and Builder Trend preferred
  • Analytical skills with particular attention to detail
  • Entrepreneurial mindset with the ability to work well in a team setting
  • Must possess a valid Texas Driver's License and meet the driver safety policy requirements.

Responsibilities

  • Performing basic accounting procedures, e.g. A/R, A/P, time billing, G/L, tax payments
  • Performing month end and quarterly closing (e.g. bank reconciliation, month-end interest accruals, allocating G&A across projects, credit card reconciliation)
  • Preparing trial balances and other financial statements as requested (balance sheets, income statements and cash flow statements)
  • Analyzing and reconciling general ledger accounts
  • Assisting Accounting Manager with annual financial audits
  • Preparing wires, ACHs and check requests when needed
  • Performing analysis of operations on a regular basis e.g. preparing budget to actuals by home, tracking expenses and change orders by home / project
  • Managing multiple cash accounts daily to ensure adequate liquidity
  • Ensuring all active projects are covered by valid, binding contracts
  • Submitting bank draws to the banks on a bi-monthly basis, as well as maintaining communication with lenders and scheduling appraisals for draws
  • Communicating with clients in order to collect on cash draws
  • Closing out project accounts upon home/project completion
  • Support special projects and ad‐hoc financial analysis as assigned.
  • Provide guidance and informal supervision to staff accountants as needed.
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