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Paperchase Accountancy (GDC) | Odhav, India | Posted July 03, 2026
Position Overview
Key Responsibilities:
- Manage vendor communications related to payments, refunds, and account reconciliations.
- Maintain and update supplier reconciliation portals accurately and timely.
- Coordinate with clients to obtain missing vendor invoices and required approvals.
- Prepare weekly Accounts Payable (AP) reports and process vendor payments with proper accounting allocations.
- Review vendor reconciliations prepared by Associates/Accountants.
- Follow up with vendors for W-9 documentation and prepare 1099 reporting workpapers.
- Perform tax return reconciliations and ensure accuracy of related records.
- Review weekly sales entries and validate supporting documentation.
- Review sales tax calculations, prepare use tax computations, and maintain tax working files.
- Prepare and file CRT, TPT, Form 8027, and other applicable county tax returns.
- Prepare and review balance sheet reconciliations....