Support monthly, quarterly, and annual close, ensuring accurate and compliant financial reporting.Manage AR, intercompany transactions, cash management, bank reconciliations, and payroll-related accruals.Review job costs, project budgets, accruals, and variances to support project and business decisions.Maintain asset, lease, inventory, tax, and licensing accounting in line with policies and regulations.Prepare ad‑hoc analyses, support audits, and collaborate cross‑functionally on process and system improvements