Accounts Receivable Specialist Job Description and Requirements
Responsibilities :
- Prepare and submit AIA G702 / G703 billing applications in coordination with Civil Engineers, Project Managers, and the Controller.
- Track retainage (typically 510%) as per contract terms, monitor release schedules, and follow up with GCs / customers to ensure timely collection.
- Manage customer invoicing for builders, general contractors, and commercial clients, ensuring accuracy against contracts, approved change orders, and completion schedules.
- Reconcile payments received and ensure accurate posting against project job cost reports and customer ledgers.
- Perform credit card reconciliations and allocate transactions to the appropriate job, vendor, or overhead accounts.
- Assist the Controller with month-end closing activities, including reconciliation of A / R, retainage, credit cards, and related accounts.
- Maintain and organize lien waiver documentation (conditional / unconditional) as required for payment release.
- Generate and analyze Aging Reports to identify overdue accounts, outstanding retainage, and escalate collection issues to the Controller.
- Collaborate with Civil Engineers and Project Managers on Change Orders (COs) ensuring signed approvals are properly documented and reflected in billings.
- Provide real-time updates to management on cash flow status, retainage tracking, and forecasted receivables.
- Track and report tariff or material cost adjustments, ensuring compliance with signed contract terms.
Key Skills and Competencies
Proven experience in AIA billing, retainage tracking, lien waivers, and reconciliations within the construction or fabrication industry.Familiarity with project-based billing tied to installation milestones, completion schedules, and approved change orders.Hands-on experience in month-end and credit card reconciliations, supporting accurate and timely financial close.Strong proficiency in ERP or construction accounting systems SAGE Intacct experience is highly preferred.Ability to create and manage customer invoices, retainage schedules, and job cost reports within Sage.Experience generating custom dashboards, aging summaries, and project-based financial reports from Sage Intacct.Understanding of integration workflows between Sage Intacct and external tools like Power BI for financial reporting and analytics.Moraware managing estimates, job tracking, scheduling, and integration with accounting systems for project-based billing and reporting.Strong analytical skills with high attention to detail and accuracy.Excellent communication and coordination skills for working with GCs, vendors, and cross-functional teams.Ability to prioritize multiple accounts and deadlines while maintaining a professional and customer-focused approach.Why Join Us :
Be part of a well-established, family-owned company with 30+ years of excellence.Work with a company recognized as a market leader with strong production capacity and advanced facilities.Opportunity to grow in a leadership role.Location : Ahmedabad, Gujarat, India
Apply Now :
Work Mode : On-site only (no hybrid or WFH)
Job Type : Full-time
General Questions :
1. What is your current CTC in Lacs per annum?
2. What is your expected CTC in Lacs per annum?
3. What is your notice period?
4. How many years of experience do you have in Sage Intacct?
5. How many years of experience do you have in Moraware – Inventory?
6. Are you currently residing in Ahmedabad, Gujarat or willing to relocate to Ahmedabad, Gujarat?
Technical Interview Questions – SAGE Intacct & Moraware
SAGE Intacct (Accounts Receivable & Financials)
1. Which modules of SAGE Intacct have you worked with (Accounts Payable, Accounts Receivable, General Ledger, Inventory, Projects, etc.)?
2. Describe the Accounts Receivable workflow in SAGE Intacct — from invoice creation to payment posting.
3. How do you perform bank and account reconciliations in Intacct?
4. Have you prepared or reviewed Aging, Retainage, or Job Profitability reports in Intacct?
5. How do you handle multi-currency transactions or foreign vendor payments in Intacct?
6. What reports or dashboards have you customized in Intacct for management review?
7. Explain how data from external systems (like Moraware) can be integrated or uploaded into Intacct.
8. Describe a scenario where you identified and resolved a posting or reconciliation error in Intacct.