Client Accounting Operations Specialist - Bookkeeping & Close

abip CPAs & Advisors

San Antonio (TX)

On-site

USD 42,000 - 65,000

Full time

14 days+
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Job summary

abip CPAs & Advisors, a growing San Antonio CPA firm, seeks a detail-oriented Client Accounting Services Operations Assistant to support daily bookkeeping, monthly closes, and client data management. You will help ensure smooth CAS workflows and deliver high-quality service to small business clients.

Responsibilities include processing A/R and A/P, bank reconciliations, document organization, and assisting with month-end close tasks.

Qualifications

  • 1–3 years of bookkeeping or accounting support experience, preferably in a CPA firm or professional services.
  • Associate degree in Accounting, Finance, or equivalent work history.
  • Proficiency in Excel and cloud-based accounting software; familiarity with paperless office systems.
  • Strong organizational and communication skills; local presence in the San Antonio area.

Responsibilities

  • Process accounts payable and receivable, perform bank and card reconciliations, and maintain general ledgers.
  • Organize client source documents, track recurring engagement deadlines, and assist with month-end/ year-end close tasks.
  • Serve as a point of contact for routine client inquiries regarding documents and portal navigation.
  • Maintain accurate records in practice management software and cloud accounting platforms such as QuickBooks Online and Xero.

Skills

Client bookkeeping
Excel proficiency
Cloud accounting software
Communication skills
Detail-oriented

Education

Associate degree in Accounting/Finance

Tools

QuickBooks Online
Xero
Paperless office systems

Job description

abip CPAs & Advisors, a growing San Antonio CPA firm, seeks a detail-oriented Client Accounting Services Operations Assistant to support daily bookkeeping, monthly closes, and client data management. You will help ensure smooth CAS workflows and deliver high-quality service to small business clients.

Responsibilities include processing A/R and A/P, bank reconciliations, document organization, and assisting with month-end close tasks.

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