Client Services Bookkeeper & Coordinator

cbh

Orlando (FL)

On-site

USD 30,000 - 40,000

Full time

4 days ago
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Job summary

Cherry Bekaert LLP in Orlando, FL seeks a motivated Client Services Coordinator to support our accounting and bookkeeping services for multiple clients. You will manage financial records, process transactions, and ensure compliance with accounting standards while delivering strong client service.

Responsibilities include setting up QuickBooks, performing month-end closings, posting GL entries, processing payroll and payroll taxes, and conducting bank reconciliations.

Qualifications

  • 1+ year of experience in a bookkeeping environment.
  • Proficient with Microsoft Office, especially Excel.
  • Experience setting up QuickBooks Desktop and Online.
  • Ability to manage multiple responsibilities with strong client service.
  • Developing project management, analytical, interpersonal and communication skills.

Responsibilities

  • Assist multiple clients' accounting and bookkeeping needs.
  • Set up QuickBooks and answer client questions.
  • Communicate with clients daily/weekly/monthly; travel to client offices.
  • Participate in month-end/quarter-end/year-end closings.
  • Post and reconcile the general ledger.
  • Prepare payroll and remit payroll taxes.
  • Prepare property tax returns (Form 1096/1099s).
  • Conduct bank reconciliations.
  • Record fixed assets and depreciation.

Skills

Bookkeeping
Client service
Project management
Analytical skills
Interpersonal skills
Communication skills
Adaptability
Integrity

Education

High School Diploma

Tools

QuickBooks Desktop
QuickBooks Online
Microsoft Excel
Microsoft Office

Job description

Cherry Bekaert LLP in Orlando, FL seeks a motivated Client Services Coordinator to support our accounting and bookkeeping services for multiple clients. You will manage financial records, process transactions, and ensure compliance with accounting standards while delivering strong client service.

Responsibilities include setting up QuickBooks, performing month-end closings, posting GL entries, processing payroll and payroll taxes, and conducting bank reconciliations.

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