← Browse all jobs

P

Accountant

Paperchase Accountancy · Ahmedabad, India

FULL TIMEpermanent

Job Description

Responsibilities

Coordination with vendors with respect to payments, refunds, and Vendor reconciliations. Supplier reconciliation portal update. Coordination with client for getting missing vendor bills & approval. Weekly AP reports, process of vendor payments & allocation in books. Review the vendor reconciliation done by AA. Chasing W9 from vendors and Preparation of 1099 Workings. Tax return reconciliation. Review of sales entries (weekly). Review of sales tax & prompt tax working file and preparation of use tax calculation. Preparation of CRT / TPT / 8027 and other county tax returns. Preparation of balance sheet reconciliation. Respond to emails on timely basis (48 hours). Timely delivery of AP reports to clients. Timely delivery of internal month end closing deadlines (financials). Training new team members & helping them settle. Ensure internal processes & systems are adhered to. Be open to learn new processes and work on new role as assigned. Attending all internal training/development sessions for personal/business growth. Mentoring & Training Associates in day-to-day operations.

Details

CompanyPaperchase Accountancy
LocationAhmedabad, India
TypeFULL TIME
Nichefinance
Experiencepermanent

Similar Jobs

S

Credit and Collections Manager

Smyth Companies

S

Investment Banking - Banker - Power & Utilities, Renewables - VP - New York

Santander Holdings USA Inc

S

CIB Structured Finance Associate, Tax Equity

Santander Holdings USA Inc

S

Trade Finance Origination Associate

Santander Holdings USA Inc

S

Investment Banking - Banker - Real Estate - VP - New York

Santander Holdings USA Inc