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Elite Business
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Tax & Finance Reconciliation

We reconcile what Amazon paid you against what it should have paid you, and we keep your tax documents where your accountant can find them.

The work

What we do

  • Reconcile each settlement in Payments against orders, refunds, fees and reimbursements, and flag discrepancies.
  • Download seller fee invoices and fulfillment tax reports each month.
  • Retrieve documents from the Tax Document Library for your accountant.
  • Maintain tax calculation settings, GST settings and tax invoicer settings on your written instruction. We do not give tax advice; we apply the settings your tax adviser specifies.
  • Review Payments Advanced Transactions to schedule and pull transaction reports.
  • Produce a monthly finance pack: settlement summary, fee breakdown, reimbursement status, and documents downloaded.
Permissions

Seller Central sections we work in

You see the exact list in Seller Central before you confirm.

  • Payments
  • Payments Advanced Transactions
  • Seller Fee Invoices
  • Tax Document Library
  • Fulfillment Tax Reports
  • Tax Settings
  • Goods and Services Tax Settings
  • Tax Invoicer Settings
  • Business Reports
Deliverables

What you receive

  • Monthly finance pack, delivered by the 5th business day

  • Discrepancy list with case numbers where we have opened reimbursement cases

  • Tax documents filed in a shared folder by marketplace and period

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Tell us about your account

We reply within one business day.