估算员 (BBS826)
Estimator (BBS826)
我们正在寻找一名估算员,作为全国性多户住宅翻新和修复承包商的修复部门的关键财务和行政资源。你将从项目启动到收尾全程支持项目,与项目经理、运营、会计、分包商和客户合作,确保项目预算、计费、变更订单、应收账款和财务报告准确无误并高效推进。
该职位需要对修复保险流程、Xactimate、Sage、项目利润率和建筑会计有深入了解。如果你注重细节、积极主动,并能负责大量活跃项目的财务协调工作,这个职位非常适合你。
为什么你想加入我们
- 以美元支付(每两周:15号和30号)
- 按照公司政策享受带薪休假
- 按公司指南遵守节假日
- 全程远程办公,你可以在最有效率的地方工作
- 在一家全国知名、屡获殊荣的翻新和修复承包商工作
- 高自主权的职位,直接对项目现金流和财务表现产生影响
你将参与的工作内容
项目预算和成本管理
- 在Sage中创建和维护项目预算和工程量清单,使用适当的成本代码、成本类型和项目利润率
- 准确地将Xactimate估算和运营提供的预算输入系统
- 监控项目成本、合同价值、已承诺的工作和可用预算
- 发现差异并在需要时完成预算修改
- 与项目经理和运营一起审查项目财务活动,确保项目在预算和利润率预期范围内
分包商和供应商计费
- 协调分包商和供应商的计费和付款,包括发票、留置权豁免、ACH信息、审批、更正和所需文件
- 监控付款状态并解决可能延迟付款的计费问题
- 与分包商和应付账款部门沟通未完成事项、应计费用或付款异常情况
变更订单管理
- 审核分包商变更订单的准确性、完整性和编码,并获得批准
- 维护最新的变更订单记录和相关文件
- 在Sage中准备和录入主合同变更订单,验证价格和利润率,并通过DocuSign路由客户文件进行签署
应收账款和收款
- 作为主要联系人处理应收账款和收款事务
查看英文原文
We're looking for an Estimator to serve as a key financial and administrative resource for the Restoration department of a national multifamily renovation and restoration contractor. You will support projects from setup through closeout, partnering with Project Managers, Operations, Accounting, subcontractors, and clients to keep project budgets, billing, change orders, receivables, and financial reporting accurate and moving efficiently.
This role requires strong knowledge of restoration insurance processes, Xactimate, Sage, project margins, and construction accounting. If you are detail-oriented, proactive, and comfortable owning financial coordination across a high volume of active projects, this role is a strong fit.
Why You'll Want to Join
- You will be paid in USD (bi-monthly: every 15th and 30th)
- Paid Time Off in accordance with company policy
- Observance of Holidays per company guidelines
- 100% remote setup so you can work wherever you're most productive
- Work inside a nationally recognized, award-winning renovation and restoration contractor
- High-ownership role with direct impact on project cash flow and financial performance
What You'll Work On
Project Budget and Cost Management
- Create and maintain project budgets and takeoffs in Sage using appropriate cost codes, cost types, and project margins
- Accurately translate Xactimate estimates and Operations-provided budgets into the system
- Monitor project costs, contract values, committed work, and available budget
- Identify discrepancies and complete budget modifications when needed
- Review project financial activity with Project Managers and Operations to ensure projects remain within budget and margin expectations
Subcontractor and Vendor Billing
- Coordinate subcontractor and vendor billing and payments including invoices, lien waivers, ACH information, approvals, corrections, and required documentation
- Monitor payment status and resolve billing issues that may delay payment
- Communicate with subcontractors and Accounts Payable regarding outstanding items, accruals, or payment exceptions
Change Order Management
- Process subcontractor change orders for accuracy, completeness, coding, and approval
- Maintain current change order logs and supporting documentation
- Prepare and enter prime contract change orders in Sage, verify pricing and margins, and route client documents for execution through DocuSign
Accounts Receivable and Collections
- Serve as the primary point of contact for accounts receivable on assigned Restoration projects
- Handle client follow-up, payment status, outstanding balances, and collection activity
- Monitor project-specific and state-specific lien deadlines and communicate upcoming deadlines
- Escalate high-risk receivables or payment issues to management promptly
WIP Reporting and Insurance Billing
- Gather, review, and maintain project financial information required for WIP reporting including costs, contract values, change orders, billings, and margins
- Work toward independently managing the Restoration WIP process over time
- Review and support MRP billing including proper classification and processing of Type 1 and Type 2 jobs
- Support client and lender communication related to supplements, owner change orders, insurance billing, and ACV/RCV processes
Financial Support and Administration
- Serve as a finance resource for the Restoration department responding to questions on budgets, billing, change orders, project costs, and margins
- Assist with MIT project bonus tracking and supporting documentation as assigned
- Maintain organized project records and proactively identify and communicate financial or administrative issues that could impact project execution or cash flow
What You Bring
- 3 to 5 years of experience in construction accounting, restoration, project administration, or a related field
- Strong understanding of construction financial concepts including project budgets, cost codes, margins, change orders, subcontractor billing, accounts receivable, and WIP reporting
- Experience with Sage and Xactimate strongly preferred
- Knowledge of restoration insurance processes including ACV/RCV and insurance estimating preferred
- Strong attention to detail, organization, and accuracy when working with financial and project data
- Excellent written and verbal communication skills with the ability to work effectively with clients, subcontractors, Project Managers, Operations, and Accounting
- Ability to identify issues, research solutions, and proactively follow through to resolution while managing multiple projects and deadlines simultaneously
- Ability to handle sensitive financial and project information with professionalism and discretion
Nice to Have
- Experience with QuickBooks, Smartsheet, Acumatica, SAP, or similar systems
- Additional education or training in accounting, construction, or business
- Background in multifamily property restoration or insurance-related construction billing
How to Apply
Please include:
- Your updated resume
- A short Loom video (1 to 2 minutes) introducing yourself, describing your experience with construction accounting or restoration billing, and walking through how you have managed project budgets and accounts receivable across multiple active projects
Only candidates who submit a Loom video will be moved to the next step of the hiring process.
If you are a detail-oriented construction accounting professional who understands how restoration projects work financially and wants ownership over a complex, high-volume project portfolio inside a nationally recognized contractor, this role gives you the scope and the accountability to do your best work.
Application Process Overview
Our comprehensive selection process ensures we find the right fit for both you and our clients:
1. Initial Application - Submit your application and complete our prequalifying questions
2. Video Introduction - Record an video introduction to showcase your communication skills and work experience
3. Role-Specific Assessment - Complete a homework assignment tailored to the position (if applicable)
4. Recruitment Interview - Initial screening with our talent team
5. Executive Interview - Meet with senior leadership to discuss role alignment
6. Client Interview - Final interview with the client team you'd be supporting
7. Background & Reference Check - Professional reference verification
8. Job Offer - Successful candidates receive a formal offer to join the team
Each stage is designed to evaluate your fit for the role while giving you insights into our company culture and expectations.
We'll keep you informed throughout the process and provide feedback at each step.
Originally posted on Himalayas