Finance & Business Administration Coordinator

Klik Solutions, LLCBaltimore, MD

About The Position

The Finance & Business Administration Coordinator plays a critical role in supporting the company’s financial operations, customer account administration, procurement processes, and vendor management activities. This position serves as a key liaison between customers, vendors, sales, and accounting, ensuring accurate billing, timely collections, efficient procurement, and compliance with financial and regulatory requirements. The ideal candidate is highly organized, detail-oriented, and comfortable managing multiple operational and financial workflows while maintaining excellent customer service.

Requirements

  • 3+ years of experience in accounting, bookkeeping, billing, procurement, or business operations.
  • Experience with QuickBooks Online.
  • Strong understanding of Accounts Receivable and Accounts Payable processes.
  • Proficiency with Microsoft Office, particularly Excel.
  • Exceptional attention to detail and organizational skills.
  • Strong written and verbal communication skills.
  • Ability to manage multiple priorities and meet deadlines.
  • Demonstrate proactive ownership of assigned networks and solution projects from discovery to completion.
  • Communicate clearly with peers, clients, and leadership regarding project readiness and capacity.
  • Balance architectural foresight with execution excellence — documenting before, during, and after each engagement.
  • Model professionalism, teamwork, and consistency; avoid rework or bypassing process controls.

Nice To Haves

  • Experience in an IT services, managed services, technology reseller, or professional services environment.
  • Knowledge of sales tax requirements and exemption management.
  • Experience with vendor management and procurement processes.
  • Familiarity with collections and customer account administration.

Responsibilities

  • Manage customer portal administration, including user access control, account settings, and auto-pay configurations.
  • Respond to customer inquiries related to billing, account setup, and payment processing.
  • Serve as a point of contact for customer-facing administrative and financial requests.
  • Monitor and manage the accounting mailbox, responding to billing and payment inquiries.
  • Generate monthly recurring invoices and daily invoices for project-based and ad hoc services.
  • Process invoice adjustments, corrections, and account updates as needed.
  • Perform quality assurance reviews to ensure billing accuracy and completeness.
  • Reconcile customer budgets and accounts receivable balances.
  • Support collections activities and follow up on outstanding invoices.
  • Maintain accurate customer financial records within QuickBooks Online.
  • Perform basic bookkeeping functions in QuickBooks Online.
  • Process and record daily bank deposits.
  • Complete daily bank reconciliations and account matching activities.
  • Maintain financial records and ensure data accuracy across accounting systems.
  • Assist with month-end financial close activities as assigned.
  • Manage post-sales operational processes to ensure orders are properly processed, procured, received, delivered, invoiced, and paid.
  • Coordinate with internal teams to ensure accurate order fulfillment and billing.
  • Review procurement data to ensure pricing, costs, and margins are accurate.
  • Research and source competitive vendor pricing to optimize company profitability.
  • Track procurement activities and maintain accurate purchasing records.
  • Manage vendor relationships related to tax documentation, exemptions, and compliance requirements.
  • Review and reconcile vendor invoices for accuracy prior to payment.
  • Perform accounts payable data entry and record maintenance.
  • Maintain vendor records and supporting documentation.
  • Prepare and manage sales tax support documentation.
  • Coordinate annual 1099 vendor reporting and related compliance activities.
  • Assist with business license applications, renewals, and compliance documentation.
  • Maintain organized financial and procurement records.
  • Support audits and compliance reviews by providing the requested documentation.
  • Identify opportunities to improve operational efficiency and process accuracy.
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