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Work Where it MattersAkima is not just another global enterprise and federal contractor. As an Alaska Native Corporation (ANC), our mission and purpose extend beyond our exciting federal projects as we support our shareholder communities in Alaska.At Akima, the work you do every day makes a difference in the lives of our 15,000 Iñupiat shareholders, a group of Alaska natives from one of the most remote and harshest environments in the United States.For our shareholders , Akima provides support and employment opportunities and contributes to the survival of a culture that has thrived above the Arctic Circle for more than 10,000 years.For our government customers , Akima delivers agile solutions in the core areas of facilities, maintenance, and repair; information technology; logistics; protective services; systems engineering; mission support; furniture, fixtures & equipment (FF&E); and construction.As an Akima employee , you will be surrounded by a challenging, yet supportive work environment that is committed to innovation and diversity, two of our most important values. You will also have access to our comprehensive benefits and competitive pay in addition to growth opportunities and excellent retirement options.Job Summary:The Billing Operations Specialist collaborates with internal and external clients to set up projects, invoice customers, collect receivables, analyze unbilled receivables, reconcile billed vs. revenue activity and as required, provide ad-hoc support and analyses. Internal clients include Project Controllers, Program/Project Managers, operations management and representatives from Accounting & Finance.The Billing Operations Specialist must exercise judgment and possess strong problem-solving skills in performing his/her duties while complying with established policies and procedures. The Billing Operations Specialist has a fiduciary responsibility to involve line management in the event of non-compliance with the Company’s published financial policies and procedures.Job Responsibilities:
Establish a business relationship with internal and external customers. Provide guidance and support to facilitate accurate and timely billing and prompt collection.
Understand the basic contract document(s) as it relates to billing and revenue. Identify and confirm invoicing requirements with the Finance, Contracts Administrator and the Program/Project Manager(s). As necessary, collaborate with the Project Controller and Program Operations to devise a project structure that considers billing requirements.
Create and maintain billing files that include the base contract, subsequent modifications, and invoice copies, revenued vs. billed/unbilled reconciliation, PSF, and customer correspondence.
Review the PSF and project set up in Costpoint (as it relates to billing) for accuracy. Ensure the Project Controller properly populated the billing formula and the “biller” fields. Ensure the project set up/structure supports the billing requirements as specified in the contract (or by the client if not included in the contract).
Set up and maintain assigned projects in Costpoint based on project requirements and in compliance with the Company’s set up rules to ensure the proper recognition of revenue.
Compare actual project expenses against contract terms and conditions and the Federal Acquisition Regulations for accuracy (POP, funding, billing rates, labor categories, un-allowable expenses). Identify errors and issues (incorrect project set ups, misclassified expenses) and notify the Project Controller to correct. Adjustment to manual invoices may be required for known errors, prior to corrections being made in Costpoint.
Review manual invoices in Excel (adjusting for known errors). Enter and post in Costpoint. Calculate automated invoices in Costpoint. Review and post in Costpoint. Prepare Schedule billings.
Remit invoices to the client. Call clients to confirm invoices received. Input notes into Costpoint regarding receivable status.
Based on review of the billing log and given feedback from the Accounting & Finance, follow up on payment discrepancies with clients (short pays and over pays). Elevate payment issues related to performance to the Project Controller, Program/Project Manager and Accounting & Finance.
Perform monthly reconciliations of billed/unbilled vs. revenued activity. Research and resolve unexplained reconciling items. Notify their supervisor of significant, reconciling items that remain unresolved for extended periods.
Input invoices into WAWF or other contract specific submission requirements.
Ensure compliance with the Company’s financial policies and procedures as they relate to invoicing and collections. Serve as a liaison between the Program Managers and Corporate Project Accounting.
Continually assess ongoing processes to identify areas for potential improvement. As required, participate in initiatives to improve processes (i.e. participate in working groups).
Assist in company initiative to automate all billings through Costpoint and move away from manual prepared invoices.
General office environment; may occasionally be required to lift up to 20lbs.
Minimum Qualifications:
Minimum of 1 year of Deltek Costpoint experience actively performing project set up and billing.
Minimum of one year of experience working in government contracting.
Strong oral and written communication skills.
Demonstrated ability to effectively interact with others and work independently.
Knowledge of Deltek Costpoint isrequired.
Demonstrated familiarity with the practical applications of personal computers and basic application software (e.g., Excel, Word, etc.).
Ability to assess, interpret and apply government and industry standards, specifications and handbooks to the unique requirements of tasking.
BS or BA degree in a related discipline is highly desirable (business, finance or accounting).
One or more years of experience in a directly related field, to include project setup in CostPoint.
Strong Microsoft Office skills to include strong excel skills,
Desired Qualifications:
Associates or Bachelor's in Accounting/Finance or relevant business degree. Additional experience may be substituted for education.
We are an equal opportunity employer. All applicants will receive consideration for employment, without regard to race, color, religion, creed, national origin, gender or gender-identity, age, marital status, sexual orientation, veteran status, disability, pregnancy or parental status, or any other basis prohibited by law. If you are an individual with a disability and would like to request a reasonable accommodation for any part of the employment process, please contact us at job-assist@akima.com or 571-353-7053 (information about job applications status is not available at this contract information). Job: Finance & AccountingTravel: NoOrganization: Akima, LLC Shared ServicesClearance: Not ApplicableShift: Day JobWork Type: RemoteReq ID: AKI04858
Full-time