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Please apply online at: 22170 - Accountant AP - VDOT Careers Site Careers

 

Job Identification: 10227

Job Category: Financial Services

Location: Richmond, VA

Apply Before: 07/08/2025, 11:59 PM

Job Schedule: Full time

Minimum Salary: $49,894.00

Maximum Salary: $81,077.00

Competency Model: All Employees

 

Job Description:

Ensure accuracy of all financial transactions posted into Cardinal. Provide internal and external customers with financial services. Prepare accounting work papers, financial statements and other financial reports. Perform full range of accounting functions in accordance with GAAP, federal, state, and VDOT policies and procedures. Advise users on VDOT policies and practices. Support other accounting functions and projects as assigned. Respond to inquiries and provide excellent customer service. Perform pre-audit analysis on expenditure documents ensuring compliance with State and VDOT policies and procedures. Provide assistance to team members regarding coding and compliance issues. Correspond with vendors regarding payments or overpayments. Analyze, research and reconcile project expenditures and reimbursements for compliance with federal and state guidelines. May perform analysis and final approval for consultant and construction vouchers.
 


How you will contribute:
 

  • Compliance Review: Develop and perform compliance reviews on accounting transactions and documents to ensure work units operate within VDOT and State policies and procedures. Ensure accounting activity is performed in compliance with applicable VDOT and DOA policies and procedures. Organize and prioritize incoming accounting items. Audit, review and organize flow of accounting data submitted from VDOT sections. Ensure payments have the necessary documentation for processing.
  • Consultant Retainage: Prepare correspondence to banks requesting release of retainage held in escrow accounts. Prepare correspondence to consultants and contractors requesting funds due to VDOT once final payment is processed. Review and reconcile contracts including associated ledges that are finalized by running reports and identifying any discrepancy, error, or issues. Provide vouchers for finalized contracts to external audit and construction division.
  • Customer Service: Exhibit professionalism and courtesy in all interactions with internal and external customers. Assist customers in resolving billing and collection issues. Provide guidance and direction to VDOT staff.
  • Data Analysis: Research, analyze and report on financial transactions or customer files as needed or requested. Assist in maintaining policies and procedures. Perform other administrative or special project related duties as requested.
  • Document Preparation: Prepare accounting work papers, financial statements, and other financial reports.
  • Financial Management: Perform analytical review and apply existing accounting policies and procedures of consultant and vendor vouchers from documentation. Review transactions to evaluate the adequacy of documentation and verify transactions are compliant with State and VDOT policies and procedures. Ensure vendors and consultants are paid under the proper contract. Analyze the invoice summary report resolving discrepancies. Research, investigate and correct errors related to coding distribution (i.e. speed types and activity codes). Review voucher documentation for errors and omissions. Foster team environment and work with other financial specialists to audit and review vouchers. Organize and prioritize daily workload and incoming accounting items. Ensure State and VDOT policies, procedures and guidelines are followed.
  • Policy and Procedures: Review and revise standard operating policies for audit and financial reporting to ensure effectiveness and compliance with established requirements; providing required updates to Manager for review and approval.
  • Reconciliation: Review and reconcile general ledger accounting transactions associated within AP areas of responsibility. Ensure transactions are corrected, recorded, and management is informed of issues.
  • Voucher Review: Perform final review and approval for vouchers that have been keyed into VDOT's automated financial management software system. Process time sensitive payments by overriding due dates to expedite payments to vendors.
  • Voucher Verification: Ensure vouchers are accurate, and print reports to verify voucher data.



What will make you successful:
 

  • Ability to analyze and interpret financial data in compliance with federal, state and local accounting directives and procedures.
  • Ability to code and batch accounting documents.
  • Ability to communicate effectively both orally and in writing.
  • Ability to develop and maintain effective working and interpersonal relationships with all divisions and customers.
  • Ability to gather and analyze data and prepare technical financial reports.
  • Ability to interpret and apply complex regulations to evaluate the adequacy of documentation.
  • Ability to perform complex and detailed cost analysis and reconciliatons.
  • Ability to perform in-depth financial reconciliations.
  • Ability to prioritize and organize work effectively.
  • Ability to research, reconcile, analyze, and evaluate financial data and resolve problems.
  • Ability to work as a team player.
  • Considerable knowledge of Generally Accepted Accounting Principles (GAAP).
  • Demonstrated ability to work independently and perform effectively in a time-sensitive work environment.
  • Demonstrated experience preparing and analyzing financial reports, statements and transactions.
  • Experience in providing and promoting excellent customer service and financial support to internal and external customers.
  • Knowledge of accounts payable and accounts receivable practices and procedures.
  • Knowledge of office practices and procedures, filing systems and coding structures.
  • Skill in handling confidential and sensitive issues appropriately.
  • Skill in using computers and software applications to include automated financial systems.
  • Skilled in performing mathematical calculations.

 


Minimum Qualifications:
 

  • Ability to develop, maintain effective working, interpersonal relationships with all divisions and customers.
  • Ability to perform detailed work with numbers.
  • Experience applying office practices, procedures, filing systems and coding structures.
  • Experience gathering, analyzing data and preparing technical reports.
  • Experience interpreting and applying complex regulations to evaluate the adequacy of documentation.
  • Knowledge of Generally Accepted Accounting Principles (GAAP).
  • Knowledge of accounts payable, accounts receivable practices and procedures.
  • Skill in the use of computers, software applications to include MS Office products and automated financial management software systems.
  • Skilled in performing mathematical calculations.

 


Additional Considerations:
 

  • A combination of training, experience, or education in Accounting, Business Administration or related field desired.
  • Accounting experience to include accounts payable and accounts receivable.
  • Knowledge of Federal Grant costing principles and practices.