Bookkeeper/Accounting Coordinator
Liff, Walsh & Simmons · Annapolis, MD · 6 days ago
On-siteAccountingFull-time
Essential Responsibilities
- Manage the accounts payable process from invoice receipt through payment.
- Verify invoices for accuracy, coding, approvals, and supporting documentation.
- Enter vendor invoices and payment information into accounting systems.
- Process approved check requests and electronic payments.
- Prepare and cut checks for vendors, consultants, and firm expenses.
- Maintain vendor records and respond to routine vendor inquiries.
- Monitor payment schedules to ensure timely processing of obligations.
- Deposit checks received by the firm and record deposits accurately.
- Record transfers between bank accounts and within Centerbase.
- Process trust account and IOLTA transfers following established procedures and approval requirements.
- Maintain accurate records of banking transactions and supporting documentation.
- Absorb daily cash management and account monitoring activities.
- Complete monthly bank reconciliations for designated firm accounts.
- Research and resolve outstanding items and reconciliation discrepancies.
- Prepare reconciliation schedules and supporting documentation for the month-end close process.
- Assist the CFO with journal entry support and month-end documentation.
- Maintain organized files and records to support financial reporting and year-end requirements.
- Manage BILL Spend & Expense coding and receipt collection.
- Review expense transactions for completeness and accuracy.
- Follow up with employees regarding missing receipts and coding issues.
- Ensure expense reports and credit card transactions are recorded timely.
- Maintain accurate records within Centerbase and related accounting systems.
- Absorb audit requests, tax preparation support, and financial record retrieval.
- Support process improvements within the accounting and administrative functions.
- Perform other bookkeeping and accounting support duties as assigned.
Qualifications
- Associate degree in Accounting, Business Administration, Finance, or related field preferred.
- 2–5 years of bookkeeping, accounts payable, or accounting support experience.
- Experience in a professional services, legal, or law firm environment preferred.
- Experience with accounting software and Microsoft Excel required.
- Experience with Centerbase, BILL Spend & Expense, or similar systems preferred.
- Strong understanding of bookkeeping principles and accounts payable processes.
- Experience performing bank reconciliations and managing transaction-level accounting activities.
- High attention to detail and commitment to accuracy.
- Strong organizational and time-management skills.
- Ability to handle confidential financial information appropriately.
- Strong communication and follow-up skills.
- Ability to manage multiple priorities and meet deadlines.