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Finance Associate Job Peach Cars
Finance Jobs. Peach Cars Jobs
Responsibilities
Specifically, the Finance Associate at Peach can expect to lead/own the following elements:
Sales Payment Confirmation & Verification
- Confirm all inbound payments related to sales, including deposits and balance payments, ensuring timely and accurate payment tracking for financial clarity
- Track and verify outbound disbursements (e.g., seller payouts, broker payments).
- Collaborate with Sales to ensure that internal records match the actual vehicle transactions
Deposit Account Reconciliation
- Maintain and reconcile the car sales deposit account on a monthly basis, resulting in a fully reconciled account that supports accurate reporting and compliance.
- Identify and escalate any variances or unexplained entries.
Invoice Management
- Generate sales invoices and ETRs once ownership transfer is confirmed by the Sales Admin Team, ensuring all invoices are issued promptly and aligned with transactions.
- Post all sales invoices into QuickBooks for accurate financial recording.
Documentation & Process Support
- Maintain the digital filing system for all vehicle-related financial documents (MEGA) to ensure organized, auditable records.
- Support in tracking the full payment-to-invoice lifecycle for each sale.
- Assist in refining and documenting sales-related processes to improve operational efficiency
Cross-Functional Finance Support
- Collaborate with the Finance Associates on specific assignments related to reconciliations, bookkeeping, supplier payments, or tracking metrics, contributing to flexible, responsive support that strengthens team output.
- Participate in any ad hoc tasks assigned by the line manager.
Requirements
Must Have Qualifications
- Bachelor’s degree in Finance, Accounting, or related field.
- 1–2 years’ experience in a finance/Accounting role handling payments, invoicing, and reconciliations.
- Hands-on bank/deposit account reconciliations with variance investigation and clearance.
- Strong Excel skills (lookups, pivot tables, reconc templates, data cleaning).
- Working knowledge of invoicing and ETR issuance; ability to post sales invoices accurately.
- Familiarity with accounting systems (QuickBooks required for day-to-day posting).
- Meticulous documentation habits; comfortable maintaining audit-ready digital files (e.g., MEGA/Drive).
- High attention to detail, numerical accuracy, and follow-through under daily and month-end deadlines.
- Integrity and confidentiality handling sensitive financial and customer data.
- Knowledge of tax/compliance basics related to sales invoices/ETR.
- Â Clear, professional written and verbal communication; responsive to stakeholders (Finance & Sales)
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