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RH
Robert Half
Full Charge Bookkeeper
Career Insights for Bookkeeper (General)
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Scorecard
Based on Texas data
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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.
$43,871 / year median in Texas
+4% projected growth
Job Description
Description We are looking for a detail-oriented Full Charge Bookkeeper to support a Dallas, Texas team on a Contract assignment. This role will take ownership of core bookkeeping activities, help bring financial records up to date, and provide hands-on support during the month-end close cycle. The ideal candidate is comfortable working independently, resolving discrepancies efficiently, and maintaining accurate records across daily accounting operations.
Responsibilities:
- Manage complete bookkeeping functions, including maintaining accurate financial records and supporting day-to-day accounting activity.
- Provide hands-on assistance during month-end close to help keep reporting timelines on track.
- Review prior transactions, identify accounting errors, and make the necessary corrections to restore accurate books.
- Perform bank reconciliations for two accounts and investigate any outstanding variances.
- Partner with staff handling accounts payable and accounts receivable to ensure financial data is complete and current.
- Help organize and update overdue bookkeeping records so the accounting backlog is reduced efficiently.
- Maintain accuracy in QuickBooks by entering, reviewing, and adjusting financial information as needed. Requirements
- Full Charge Bookkeeping experience with the ability to oversee accounting records from start to finish.
- Proficiency in QuickBooks and confidence working within an established bookkeeping system.
- Working knowledge of accounts payable and accounts receivable processes.
- Experience completing bank reconciliations and resolving discrepancies accurately.
- Strong attention to detail and the ability to identify and correct posting errors.
- Ability to support month-end close activities in a fast-paced environment.
Benefits
- 401(k) Plans
- Health Insurance
- Dental Insurance
- Vision Insurance