Some of the Services The Cymberly Group will provide:
Prepare monthly budget reports to aid the owner with financial decisions.
Maintain cash flow reconciliations to calculate when funds will be used on the project. This cash flow could also be tracked by funding source.
Audit and process construction invoices in a timely manner.
Coordinate with project managers to control project costs.
Report availability and uses of different funding sources
Review and reconciliation of construction estimates for the Schematic Design and Design Development phases of capital projects to establish the Project Budget.
Participate in Change Management meetings to evaluate all potential changes prior to award of any change orders.
Organize project budget according to the Owner's parameters while maintaining the proper controls to keep the Designers, CM and Contractors in line financially.
Monthly tracking reports for minority participation goals versus actuals.
Managed projects that have utilized SAP, Prolog and Encompass.
Allocation of project costs into a Fixed Assets System for the Owner’s accounting records
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