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Project Accountant (Transmission)

Valard Construction · Edmonton, Alberta, Canada · On-site

Posted Sep 30, 2026

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Our Transmission group is currently looking to add a Project Accountant to our growing team, based in either Calgary or Edmonton, AB. Reporting to the Project Controller, this role is a key contributor to the financial success of Transmission Line construction projects, providing full life-cycle accounting functions and operational cost control for assigned projects. Working in close partnership with the Project Controller, Project Managers and field operations, this position is responsible for the accurate tracking, analysis, and reporting of project costs from job setup through to closeout, and plays a critical role in maintaining budget integrity, supporting client billing, and ensuring compliance with Valard's financial controls and reporting standards. Duties and Responsibilities Project Setup & Budget Management Set up new projects in JD Edwards (Job Master, Cost Codes, budgets) and maintain job master data integrity with Quanta's consolidation tool Participate in Day One Budget creation from tender documentation and support the budget change management process, including tracking revisions Cost Control & Financial Reporting Review and correct cost coding on purchase orders and other transactions, and support field staff with third-party cost coding Manage monthly cost accruals, journal entries, and mid-month report packages with project management teams For Percentage of Completion projects, facilitate monthly forecast meetings, provide variance analysis summaries, and load approved revenue/estimate data into JD Edwards Prepare margin analysis and WIP calculations (costs/billings in excess), and support project profitability analysis and forecasting Track pending, approved, and disputed change orders, quantifying revenue/margin impact per policy Client Billing & Accounts Receivable Prepare and administer client billings with required backup documentation, and monitor accounts receivable for collections Reconcile total contract value to billings and forecast, and manage CIEB positions within established thresholds Track and reconcile holdback receivable and administer release collection; ensure proper GST/PST treatment on billings Subcontracts, Audits & Closeout Administer subcontractor contracts and facilitate mid-month PO review meetings; compile documentation for internal/external audits Support the Project Controller in closing and reviewing project costs on a weekly, monthly, and quarterly basis Manage job closeout, including reconciliation, final cost reporting, and holdback payable tracking/release Ensure revenue is recognized per ASC 606 with supporting documentation, and proper GST/PST treatment on invoices Month End & General Facilitate month end cost accrual meetings and ensure deadlines/reporting requirements are met Verify labour, equipment, and material charges, and reconcile intercompany/shared-service allocations Collaborate on Estimate-to-Complete calculations; complete ad hoc analyses and…