Olympic's accounting services include both trust accounting and insurance accounting administration and were established with our clients' needs in mind. Accounting operations manages a broad scope of services including implementation, maintenance and administration of trust accounts, checking and digital signatures, check issuance, account reconciliation, and billing and collection services.

Olympic offers flexibility in the design of client-specific banking procedures, monthly reconciliation and standardized client communications. Billing and collection services are established by Olympic or coordinated with a third party as designated by the client. Financial reporting is provided monthly or on a schedule otherwise mutually agreed upon with the client.