LedgerMatch

Bank Reconciliation for Law Firms & Legal Practices in Miami, FL

A practical CSV-based bank-to-ledger workflow for law firms bookkeepers serving businesses in Miami.

Bookkeeping context in Miami

Miami is a global financial hub with a massive concentration of international businesses, real estate transactions, and hospitality accounts — making bank reconciliation both critical and complex. Bank of America, Chase, and Citibank are the dominant commercial banks in Miami, and many South Florida businesses use international wires that appear differently in bank statements than in QuickBooks. LedgerMatch matches any Miami-area bank CSV export to your ledger in under 10 minutes, flagging every unmatched entry automatically.

Law Firms & Legal Practices reconciliation workflow

Law firms operate with two distinct types of bank accounts — the operating account for business expenses and the IOLTA trust account for client funds — and both must reconcile perfectly every month. State bar associations require attorneys to maintain accurate trust account records, and a trust account reconciliation error can trigger a bar complaint or disciplinary action. LedgerMatch helps law firm bookkeepers reconcile both operating and trust account bank statements against QuickBooks or Xero in under 10 minutes, with a clean audit trail for every transaction.

Local and industry considerations

  • Florida has no state income tax, but Miami's international businesses often deal with foreign currency conversions and wire transfer fees that must be reconciled carefully for accurate financial reporting.
  • IOLTA trust account reconciliation is required by most state bars and must be completed monthly — errors in trust accounting can trigger disciplinary proceedings regardless of the dollar amount involved.

Common banks and accounting tools

  • Bank of America
  • Chase
  • Citibank
  • Wells Fargo
  • Chase
  • Bank of America
  • QuickBooks Online
  • Clio Manage

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