Oversee the accounting treatment, reconciliation, and financial reporting for funded and total contract value, ceiling limitations, unbilled and billed receivables, contract closeout, and cash collections; provide accounting support for limitation-of-cost, limitation-of-funds, and other required financial notifications while Finance and Program Management perform day-to-day contract tracking. Working in partnership with Finance who coordinates the company’s day-to-day compliance program, the Controller will provide financial oversight and subject-matter expertise for close, general ledger integrity, contract billing, revenue recognition, indirect rates, incurred cost submissions, audit readiness, and the accounting team.