We have a finance department filled with talented, organized, and meticulous individuals.

As part of the full-service nature of our work, we perform a wide variety of finance and accounting functions to best serve our claimants and clients. These current functions include:

  • Recording transactions to general ledgers, such as:
    • Insurance recoveries
    • Claim payments
    • Investment transactions and income
    • Vendor payments
    • Insurance costs
    • Other administrative costs
  • Risk Management Services
  • Preparing financial reports for project leaders
  • Paying and recording vendor and professional fees based on approval policies
  • Reconciling investment and bank statements to general ledgers on a monthly basis
  • Preparing statements and schedules for, and interacting with, external auditors and tax preparers
  • Preparing annual budgets
  • Communicating with Client Managers, where applicable, to efficiently manage cash flow