Accounts PayableMonitor and QA the outsourced bookkeeper's work in Ramp (credit card expense categorization, receipt matching, merchant rule accuracy)Onboard new vendors into QBO and Ramp; maintain vendor master data and W-9 / 1099 trackingProcess manual payments for vehicle purchases outside of Ramp, including written checks and wire transfersExecute lien payoff payments for purchased vehicles through DMS and lender portalsCoordinate with auction houses on invoice disputes, short-pays, and credit requestsProcess and reconcile transport vendor invoices (outbound delivery, towing, inbound transport)Track accrued liabilities for significant expenses incurred but not yet invoiced; flag items approaching 30 daysPrepare and upload NACHA payment files for floor plan payments, ensuring clearing accounts reconcile to $0 each periodAccounts ReceivableReconcile all bank accounts daily (operating, credit card, and ACH deposit accounts) and record customer payments in QBOMonitor the customer downpayment receivable subledger and investigate aging items; escalated unmatched depositsMatch lender funding payments to DMS deal invoices; resolve short-pays and funding variancesTrack the cash-in-transit (CIT) position daily—funded deals awaiting bank deposit, deposits awaiting lender remittanceProcess and clear bank deposit entries through the deposit clearing workflowMonitor and clear credit card and ACH payment clearing accounts; investigate items that don't auto-matchFollow up with lenders on stale funded-not-received balances; coordinate with F&I and title teams on hold-upsCustomer Refunds & CreditsOwn the end-to-end customer refund process across all refund types: DMV overages, vehicle returns, warranty claim payments, overpayments, and deal unwindsProcess DMV overage refunds by reconciling registration service invoices against actual fees collectedCoordinate vehicle return refunds with the sales and F&I teams; ensure return entries reverse the original deal correctlyTrack warranty and service contract cancellation refunds from plan providers and apply to customer accountsIssue refund checks or initiate ACH refunds; maintain a refund log with supporting documentation for each transactionTitle, F&I & Cross-Functional CoordinationWork closely with the title clerk on DMV fee reconciliation, registration timing, and DMV payment clearingPartner with the F&I team on deal funding status, lender stipulations affecting payment, and contract cancellationsServe as the finance team's point of contact for operations staff on payment status inquiries, vendor issues, and customer account questionsCoordinate with the acquisitions team on purchase disputes, arbitration returns, and fraud-related payment holdsSupport the Controller during month-end close by preparing clearing account reconciliations and flagging unresolved itemsAdditional ResponsibilitiesMaintain and update vendor and customer mapping files used by automated import pipelinesReview and approve recurring journal entries for accuracy before posting (prepaid amortization, accruals)Assist with sales tax remittance preparation and DMV fee payment reconciliationSupport annual 1099 preparation and vendor payment reportingHelp build and document SOPs for new transactional processes as the dealership scalesIdentify opportunities to automate manual payment and reconciliation workflowsQualificationsRequired3–5 years of full-cycle AR/AP experience, ideally in automotive retail, dealership operations, or a similarly transaction-heavy environmentStrong Excel skills—comfortable with VLOOKUPs, pivot tables, and reconciliation workbooksDetail-oriented with a high tolerance for volume—this role processes hundreds of transactions per monthClear communicator who can work across departments (finance, ops, sales, title, F&I) without needing constant directionPreferredExperience with DMS systems (CDK, DealerTrack, Reynolds & Reynolds)Hands-on proficiency with QuickBooks Online (journal entries, invoices, bills, bank feeds, reconciliations)Experience with corporate card platforms (Ramp, Brex, or similar) for expense management oversightFamiliarity with floor plan financing, NACHA/ACH payment processing, and lender funding workflowsExposure to EV or specialty vehicle retailInterest in process automation—we use scripted pipelines and database-backed workflows, and we'd love someone curious about how they workThe expected salary range for this position is $80,000 – $105,000 annually. Senior Accounts Receivable / Accounts Payable SpecialistFieldDetailsDepartmentFinance & AccountingReports ToController / Head of AccountingLocationSan Francisco Hub (hybrid — 3 days on-site, 2 remote)SystemsQuickBooks Online, Ramp, DMS, and various lender/auction/DMV portalsAbout Ever CarsEver Cars is a technology-forward electric vehicle dealership based in San Francisco.