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Bookkeeper Job in Columbia, SC

Job in Columbia, Richland County, South Carolina, 29204, USA
Listing for: Robert Half
Full Time position
Listed on 2026-08-21
Job specializations:
  • Accounting
    Bookkeeper/ Accounting Clerk, Accounting Assistant, Accounts Receivable/ Collections, Accounts Payable Clerk
Job Description & How to Apply Below
Position: Bookkeeper Job in Columbia, SC | Robert Half

Bookkeeper

We are looking for a detail-oriented Bookkeeper to join our team in Columbia, South Carolina on a contract basis. This role supports day-to-day financial operations by managing incoming payments, coordinating invoice processing, and helping maintain accurate records across accounts payable and related accounting activities. The ideal candidate is organized, dependable, and comfortable working with multiple departments to keep transactions timely, accurate, and well documented.

Responsibilities:

  • Record and track all incoming funds in daily payment logs to maintain accurate receipt documentation.
  • Post payments to the appropriate accounts within the loan servicing and accounting systems, ensuring entries are applied correctly and on time.
  • Support daily cash reconciliation activities by reviewing received funds, identifying discrepancies, and helping resolve issues before close of business.
  • Update account records based on approved servicing or investor instructions while maintaining accuracy and proper documentation.
  • Review payoff information, apply final payments, and initiate the necessary follow-up steps to complete related processing.
  • Investigate payment questions, respond to research requests, and provide clear explanations regarding payment application and account history.
  • Receive vendor invoices, log them as outstanding payables, and coordinate with internal teams to secure timely approvals and resolve billing issues.
  • Prepare and distribute payments for approved invoices, maintain payables files, and communicate with vendors regarding payment status and monthly account closeout.
  • Assist with bank account balancing, error correction, and support for escrow, organization-related, and utility payables as part of ongoing accounting operations.
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