| Location: | Virginia |
|---|---|
| Posted: | May 7, 2026 |
| Due: | Jun 4, 2026 |
| Agency: | State Government of Virginia |
| Type of Government: | State & Local |
| Category: |
|
| Solicitation No: | RFP 119847 |
| Publication URL: | To access bid details, please log in. |
City of Williamsburg -City of Williamsburg
Closing On: 6/4/26 2:00 PM
Time Left: 27 days
PROJECT DESCRIPTION The City of Williamsburg, Virginia (the City), is seeking proposals from Certified Public Accountant firms with experience in local government audits in Virginia to perform certain pre-auditing and accounting services. SCOPE OF WORKThe services to be provided include the following; however, additional services may be requested upon mutual agreement.Part A: Pre-Audit Services Scope of Work:⢠Prepare account reconciliations⢠Calculate Allowance for doubtful accounts⢠Analysis of Personal Property⢠Calculate unbilled Water revenue⢠Compensated Absences⢠Assist with the implementation of GASB 103⢠Assist in the preparation of the ACFR, to include statistical and supplemental information⢠Prepare year-end adjusting journal entries⢠Assist with input of subscription-based information and technology asset and lease information into DebtBooks, analyze the DebtBook entries and notes, and assist in preparing journal entries⢠Other assistance to prepare for the annual audit to be agreed upon during engagement planning.Part B: Accounting Services Scope of Work:⢠Performs and approves a variety of accounting activities, including the recording of transactions in the Cityâs general ledgers in accordance with generally accepted accounting principles⢠Monitors and reconciles cash balances in all City funds and performs all electronic transfers/transactions with banking institutions ⢠Bank reconciliations⢠Reconciles all credit card activity for all City-wide revenue applications, including web transactions⢠Prepare various invoices⢠Monitors monthly summaries from accounts receivable functions, including utility and tax billing, monthly billing of City rental property, and various balance sheet account reconciliations⢠Ensures compliance with accounting, disbursement, and reporting requirements of Federal and State grants⢠Prepare monthly financial reports⢠Records and reconciles Human Service Department transactions and issues fund financial statements⢠Assists in tracking and recording City fixed assets
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