Billing Coordinator
Listed on 2026-09-18
-
Accounting
Accounting & Finance, Bookkeeper/ Accounting Clerk, Accounting Assistant, Accounts Payable Clerk
Woodward & Co. Lawyers LLP is a national law firm dedicated to providing excellent legal services to Indigenous communities, governments, and organizations. We are seeking a highly skilled
Billing and Accounts Payable Coordinator,to fill an existing vacancy and join a talented and dedicated team in our Victoria BC, office location, to support lawyers engaged in complex Aboriginal, environmental, and natural resources litigation.
The Billing and Accounts Payable Coordinator supports the accurate, timely, and efficient delivery of the firm’s billing and accounts payable functions. The position coordinates the billing cycle, prepares and distributes client bills, maintains billing and timekeeper information, processes vendor invoices and payments, reconciles accounts payable records, responds to internal and vendor inquiries, and prepares related reports. The Billing and Accounts Payable Coordinator works collaboratively with the Finance team and other departments to promote accurate financial information, strong internal controls, timely payments, and consistent service standards.
KeyDuties & Responsibilities
- Coordinate the firm’s billing cycle in accordance with established schedules, lawyer instructions, client arrangements, engagement terms, and internal procedures.
- Monitor and review the quality of draft bills prepared by Finance clerks, ensuring that billing work is accurate, complete, consistent, professionally presented, and completed within established timelines.
- Review draft bills for missing or duplicate entries, incorrect rates, unclear narratives, unsupported adjustments, formatting issues, inaccurate client or matter information, and non‑compliance with client billing requirements.
- Provide Finance clerks with timely guidance and corrective feedback on billing errors, quality concerns, required revisions, and established billing standards. Escalate recurring or significant issues to the Director of Finance.
- Prepare, revise, and finalise client bills using approved time entries, disbursements, billing rates, retainers, trust information, discounts, write‑offs, and lawyer instructions.
- Confirm that bills comply with approved rate arrangements, client billing guidelines, electronic billing requirements, purchase‑order requirements, and other matter‑specific instructions.
- Incorporate approved lawyer revisions accurately and maintain appropriate documentation for discounts, write‑offs, transfers, rate changes, and other billing adjustments.
- Post and distribute approved bills within established timelines, confirming that each bill is complete, correctly addressed, professionally presented, and delivered through the required method.
- Maintain accurate client, matter, timekeeper, billing‑rate, billing‑frequency, and client‑guideline information in Unity and related systems.
- Monitor time and disbursement entries for completeness, accuracy, appropriate matter allocation, and compliance with billing deadlines. Follow up on missing, late, or inconsistent information.
- Monitor work in progress and billing status, identify matters requiring attention, and communicate outstanding requirements to lawyers, Finance clerks, and administrative employees.
- Prepare and quality‑check billing, work‑in‑progress, aged accounts receivable, accounts payable, time‑entry, lawyer productivity, and other financial reports before distribution.
- Monitor Unity and related accounting or time‑tracking processes for data‑quality concerns, processing errors, or system issues, and coordinate their resolution with the appropriate contact.
- Support the onboarding and training of Finance clerks and other employees on billing procedures, Unity, time‑entry requirements, client billing…
(If this job is in fact in your jurisdiction, then you may be using a Proxy or VPN to access this site, and to progress further, you should change your connectivity to another mobile device or PC).