1. Grow in dealership finance with exposure to ops and management accounts
2. Build expertise in funding, reconciliations & reporting hands-on.
About Our Client
Our client is a well-established independent dealership specialising in premium used vehicles. With a strong reputation for customer service and a manufacturer-approved service centre, they offer a professional yet friendly working environment, ideal for candidates looking to grow their career in automotive finance and operations.
Job Description
3. Reconcile daily cash, PDQ, and bank transactions across branches
4. Manage vehicle stock entries and funding via Pinnacle and funding portals
5. Prepare and process payments for purchases, settlements, and refunds
6. Chase aged debtors and ensure accurate financial records
7. Perform monthly bank reconciliations and vehicle stock checks
8. Assist with management accounts, ledger close, and balance sheet reconciliations
9. Liaise with internal teams to ensure consistency and accuracy
10. Support reporting, accruals, and bonus reconciliations
11. Handle ad hoc finance and admin tasks as needed
The Successful Applicant
✅ Dealership Experience - essential for understanding operational and financial workflows✅ Strong Reconciliation Skills - confident handling cash, PDQ, bank, and vehicle-related reconciliations✅ System Knowledge - experience with Pinnacle or similar dealership management systems✅ Financial Accuracy - able to manage daily and monthly accounting tasks with precision✅ Team Collaboration - works well with local and group-level finance teams✅ Organised & Proactive - manages multiple priorities and meets deadlines✅ Reporting Support - assists with management accounts, ledger close, and balance sheet reconciliations
What's on Offer
📍 On-site role with exposure to multiple branches and finance operations📈 Career progression opportunities in dealership finance and accounting🧠 Hands-on experience with systems like Pinnacle and funding portals🤝 Collaborative environment working with local and group-level finance teams🎯 Varied responsibilities across daily operations and monthly reporting💡 Skill development in reconciliations, ledger management, and financial reporting