Here’s what you’ll deliver:
Post, reconcile and analyze retail, wholesale, fleet and dealer trade vehicle deals.
Prepare remittances for warranties.
Post all TD EFT payments for payouts.
Maintain and reconcile relative schedules on a routine basis.
After-market purchase reconciliation on a routine basis.
Process payment posting of vehicle chattel.
Maintain inventory of deal files.
Follow up with dealership management for outstanding items.
Act as intermediary between stores and accounting for items that need to be pulled from deals.
After-market purchase reconciliation on a monthly basis.
Investigate and resolve billing discrepancies or misapplied cash transactions and advise dealers.
Monthly inventory reconciliation and audits.
Provide support on deal administration matters.
Exercise full discr...