Accounting Specialist at Old Glory Harley Davidson
Laurel, MD 20708, USA -
Full Time


Start Date

Immediate

Expiry Date

07 Jul, 25

Salary

0.0

Posted On

07 Apr, 25

Experience

2 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Suppliers, Microsoft Excel, Peachtree, Quickbooks, Microsoft Word, Research, Outlook, Powerpoint, Reynolds

Industry

Accounting

Description

We are currently seeking a full-time Accounting Specialist. This is a very hands-on position, in a fast-paced environment, responsible for the operation of all accounting related features utilizing a computerized dealership management system, assisting with the preparation of financial and statistical reports for dealership management and for the submission of monthly financial information to Harley-Davidson Motor Company.

QUALIFICATIONS AND JOB REQUIREMENTS:

  • Bachelor’s Degree with a major in accounting.
  • Minimum of two years’ experience as a full charge bookkeeper.
  • Experience with relevant accounting software programs – ADP Lightspeed NXT, ADP, Reynolds and Reynolds, Peachtree, QuickBooks, ATX, etc.
  • Proficiency in the use of Microsoft Excel and experience with Microsoft Word, PowerPoint and Outlook.
  • Experience in the professional use for research, of an Internet browser.
  • Ability to communicate effectively to resolve problems with other dealership employees, suppliers,
  • Harley-Davidson representatives and governmental agencies.
  • Must be able to multitask and input data with accuracy and efficiency in a high paced environment.
Responsibilities
  • Provide high quality assistance to office personnel to ensure a smooth running and productive office environment.
  • Prepare letters, reports, financial contracts, and other correspondence.
  • Set-up and maintain an accurate easy to access filing system for all important receivable documentation.
  • Reconcile cash registers & petty cash on a daily basis.
  • Coordinate and track vehicle sales documentation process.
  • Ensure all Major Units are entered into Lightspeed and proper documentation is ready and available for unit sale.
  • Ensure all funding packages are compiled and funded in a timely manner.
  • Update the CIT log for all funding/hold checks and cancellations.
  • Finalize and SWR all sales units in a timely manner.
  • Ensure all funding confirmations and payoff requests get submitted to Grand Rapids.
  • Ensure all trade-ins get paid off/titled and into Lightspeed accurately and documentation to the sales department for sale.
  • Submit and track all NSF customer communications in attempts to reduce/remove issues
  • Compute and process payroll data.
  • Compliance with Department of Motor Vehicle regulations, the filing of all required reports, and the remittance of all payments on a timely basis.
  • Resolve accounting issues as they arise in the daily processing of dealership transactions.
  • Investigate and trace errors and record adjustments to correct inadvertent postings to incorrect accounts.
  • Reconcile all subsidiary ledgers to general ledger control balances on a daily, weekly and monthly basis. In some cases, maintain spreadsheets or other auxiliary sub-ledgers to supplement standard accounting software capabilities as prescribed by the Operations Manager.
  • Prepare daily bank deposits by compiling and reconciling accounting reports and media from point of sale cash drawers with receipts accepted in currency, checks and credit cards.
  • Supervise the maintenance of vendor records and tracking of outstanding obligations payable by due date so as to optimize cash flow and take full advantage of vendor payment terms beneficial to the dealership.
  • Supervise the examination and distribution of vendor invoices and other payment requests to appropriate general ledger account classifications.
  • Supervise the issuing of checks in payment of merchandise purchases, supplies, services and customer accommodations.
  • Supervise the compliance with Department of Motor Vehicle regulations, filing of all required reports, and remittance of all payments on a timely basis.
  • Supervise the compliance with all taxing authority requirements and making timely deposits of required taxes and filing of tax returns as required.
  • Audit and resolve any anomalies encountered in daily financial transactions as recorded by others in dealer management system modules and execute the daily transfer of transactions from dealer management system modules to the accounting software in use.
  • Prepare special financial analyses as directed by the Operations Manager and the General Manager.
  • Perform other related duties as assigned or requested.
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