domain
Bookkeeper
Phoenix, AZ, US
Onsite
2026-07-04
Announced salary
$54,080 - $64,480
Low
$53K
Median
$68K
High
$86K
Market in Phoenix · BLS OEWS 2025
Estimated net pay
$3,723 - $4,398
/month · 17% withheld
after tax & contributions · Single, no dependents
Job description
**Job Summary**
We are seeking a detail\-oriented and proactive Bookkeeper to join our dynamic finance team. In this vital role, you will manage the company’s financial records, ensure accuracy in accounting processes, and support the overall financial health of the organization. Your expertise will help maintain compliance with accounting standards and facilitate smooth financial operations across various departments. This position offers an exciting opportunity to contribute to a growing organization with a focus on integrity, accuracy, and efficiency.
**Duties**
* Record and maintain accurate financial transactions using accounting software such as QuickBooks, Xero, Sage, or similar systems
* Perform bank reconciliations and general ledger reconciliations to ensure data integrity
* Prepare and process journal entries, accounts payable, and accounts receivable transactions
* Manage payroll processing in compliance with relevant regulations and company policies
* Assist with month\-end closing activities, including balance sheet reconciliation and account analysis
* Support budgeting efforts by tracking expenses and preparing financial reports
* Ensure adherence to GAAP (Generally Accepted Accounting Principles) and other regulatory standards in all accounting practices
* Conduct governmental and non\-profit accounting tasks as needed, including tax preparation support and grant tracking
**Experience**
* Proven experience as a Bookkeeper or in a similar accounting role with a strong understanding of double\-entry bookkeeping principles
* Hands\-on experience with popular accounting software such as QuickBooks Online, Xero, Sage, or Quicken
* Knowledge of payroll processing, tax regulations, and governmental accounting standards
* Familiarity with financial concepts including debits \& credits, journal entries, account reconciliation, and general ledger management
* Demonstrated ability to perform bank reconciliations, account analysis, and financial report wri