Topic
#cip
Construction Draw Reconciliation: Why Lender Draws Never Match Your Books (and How to Fix It)
Why construction draw requests and the general ledger drift apart, the real costs of unreconciled draws, and the account structure that makes draw packages reconcile by design.
Read →How to Build a CIP Schedule That Reconciles to Your Books
What a CIP schedule is, the exact columns and cost structure it needs, and how to build one that ties to the general ledger instead of living as a spreadsheet nobody trusts.
Read →CIP Accounting Explained: How Construction in Progress Should Actually Work
What Construction in Progress (CIP) accounting is, why generic charts of accounts butcher it, and how a purpose-built CIP structure gives developers real project cost visibility.
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