We thank all applicants. Only those applicants who are chosen to move to the next step in our recruiting process
will be contacted directly.
Post all new & used vehicle sales on a daily basis Daily payout of all vehicles Prepare Dealer Trade cheques on a daily basis Reconcile monthly accounts ( factory vehicles, vehicle receivables, customer deposits, license clearing, new & used vehilce inventories) Reconciles the monthly statements of third party warranty providers and prepares cheques accordingly