Find Jobs
Find Jobs Near You – Available Work in Your Location
Skip to job details
RH
Robert Half
Full Charge Bookkeeper
Career Insights for Bookkeeper (General)
See where this job fits in the broader career landscape. Knowing your career path helps you see what's possible from here.
Scorecard
Based on New Hampshire data
Review key factors to help you decide if this role fits your goals. How is this calculated?
What they do
A Bookkeeper keeps records of accounts and manages day to day financial recordkeeping. Works for a business or provides bookkeeping services for several smaller organizations or individuals. May be supervised by an accountant. Provides information for financial statements and tax reports completed by an accountant.
$56,383 / year median in New Hampshire
-11% projected decline
Job Description
A well-established professional services organization is seeking an experienced Full Charge Bookkeeper to oversee day-to-day accounting operations and ensure the accuracy of financial records. This is a highly visible role that will partner closely with leadership and external accounting professionals while managing a broad range of accounting, reporting, billing, and compliance responsibilities.
The ideal candidate is detail-oriented, highly organized, and comfortable managing multiple financial processes in a fast-paced environment.
ResponsibilitiesMaintain the general ledger and accurately record financial transactionsManage accounts payable and accounts receivable activitiesPerform bank and credit card reconciliationsAssist with client invoicing and billing processesMaintain and reconcile client trust and escrow accounts while ensuring compliance with industry regulationsTrack and apply client retainers and depositsPerform monthly account reconciliations and maintain supporting documentationProcess payroll and coordinate payroll-related reportingPrepare monthly and year-end financial reports for leadership and external accounting partnersAssist with tax reporting requirements and annual filingsMaintain organized, audit-ready financial recordsSupport financial transactions related to client matters and special projectsMonitor cash flow and assist with budgeting and reporting activitiesPartner with leadership to provide regular financial reporting and operational insightsCollaborate with external accountants, auditors, and other financial stakeholders as needed
The ideal candidate is detail-oriented, highly organized, and comfortable managing multiple financial processes in a fast-paced environment.
ResponsibilitiesMaintain the general ledger and accurately record financial transactionsManage accounts payable and accounts receivable activitiesPerform bank and credit card reconciliationsAssist with client invoicing and billing processesMaintain and reconcile client trust and escrow accounts while ensuring compliance with industry regulationsTrack and apply client retainers and depositsPerform monthly account reconciliations and maintain supporting documentationProcess payroll and coordinate payroll-related reportingPrepare monthly and year-end financial reports for leadership and external accounting partnersAssist with tax reporting requirements and annual filingsMaintain organized, audit-ready financial recordsSupport financial transactions related to client matters and special projectsMonitor cash flow and assist with budgeting and reporting activitiesPartner with leadership to provide regular financial reporting and operational insightsCollaborate with external accountants, auditors, and other financial stakeholders as needed