Automotive Dealership Accountant – Detail‑Oriented & Impactful

Diehl Automotive Group

Beaver Falls (Beaver County)

On-site

USD 55,000 - 75,000

Full time

14 days+
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Job summary

Diehl Automotive Group seeks a detail-oriented Dealership Accountant to support accounting and financial reporting across multiple dealership locations. The role covers general ledger maintenance, reconciliations, vehicle and inventory accounting, cash management, accounts payable and receivable, and month-end closing.

You will collaborate with management to maintain strong controls and ensure timely, accurate recording of transactions, producing reliable financial statements and variance

Qualifications

  • Prior accounting or bookkeeping experience preferred.
  • Automotive dealership accounting experience strongly preferred but not required.
  • Strong computer skills and attention to detail.
  • Ability to manage multiple responsibilities and meet deadlines.
  • Excellent communication with accounting personnel and leadership.

Responsibilities

  • Perform daily cash deposits and review cash clearing transactions.
  • Perform daily and monthly general ledger accounting activities.
  • Prepare and post journal entries and accounting adjustments.
  • Reconcile balance sheet and general ledger accounts and investigate items.
  • Review vehicle sales transactions for accuracy.
  • Reconcile vehicle inventory schedules to the general ledger.
  • Reconcile manufacturer statements, incentive receivables, warranty receivables.
  • Collaborate with sales and F&I to resolve issues.

Skills

Analytical abilities
Attention to detail
Organizational skills
Multitasking
Communication
Strong computer skills

Job description

Diehl Automotive Group seeks a detail-oriented Dealership Accountant to support accounting and financial reporting across multiple dealership locations. The role covers general ledger maintenance, reconciliations, vehicle and inventory accounting, cash management, accounts payable and receivable, and month-end closing.

You will collaborate with management to maintain strong controls and ensure timely, accurate recording of transactions, producing reliable financial statements and variance

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