Finance Manager
Listed on 2026-02-11
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Finance & Banking
Financial Manager -
Management
Financial Manager
Company Overview
Wilks Tire & Battery Service, a family-owned and operated tire company with a proud legacy spanning over 74 years, is dedicated to delivering exceptional service and quality products across its multi-location operations. The company encompasses retail stores, commercial locations, and tire retreading facilities, serving diverse customer needs while maintaining a strong commitment to its employees and community.
Position TitleFinance Manager
LocationAlbertville, AL (with support of site locations in AL, GA & TN)
Employment TypeFull-time
Position SummaryResponsible for overseeing all aspects of Finance, including corporate accounting, financials, budgeting, report development and filing. This position requires a proactive leader who can navigate the complexities of a multi-location, family-owned business while upholding its values and traditions.
Key Responsibilities- Financial Reporting & Close
- Own the monthly, quarterly, and annual close
- Produce consolidated financial statements (P&L, balance sheet, cash flow)
- Ensure store-level vs. company-wide reporting is accurate and comparable
- Analyze variances (budget vs. actual, YoY trends)
- Prepare reports for ownership, lenders, and CPAs
- Accounting Operations Oversight
- Interact with personnel on AP, AR, payroll, and general ledger
- Ensure consistent accounting practices across all locations
- Maintain internal controls to prevent errors, shrinkage, or fraud
- Manage reconciliations (bank, credit cards, floor plans, inventory, prepaid expenses)
- Inventory & Cost Control (Big One for Tire Businesses)
- Oversee inventory valuation and costing (FIFO/LIFO/weighted avg.)
- Monitor shrinkage, obsolescence, and slow-moving inventory
- Reconcile inventory systems vs. GL
- Analyze margins by:
- Tire brand
- Store location
- Service vs. retail
- Support physical counts and cycle counts
- Budgeting, Forecasting & Financial Analysis
- Lead the annual budgeting process
- Build rolling forecasts based on seasonality and promotions
- Analyze KPIs such as:
- Gross margin per tire
- Labor cost as % of sales
- Average ticket size
- Store profitability
- Provide decision support for pricing, promotions, and expansion
- Cash Flow & Banking
- Manage cash flow forecasting
- Oversee lines of credit, floor plan financing, and loan covenants
- Optimize working capital (inventory turns, payables timing)
- Coordinate with banks and financial institutions
- Tax & Compliance
- Coordinate with external CPAs on:
- Income taxes
- Sales and use tax across multiple jurisdictions
- Ensure compliance with:
- State/local sales tax rules
- Support audits, reviews, or lender examinations
- Coordinate with external CPAs on:
- Systems & Process Improvement
- Own or heavily influence:
- POS systems
- Accounting software
- Inventory management tools
- Improve reporting automation and data accuracy
- Standardize procedures across all locations
- Own or heavily influence:
- Leadership & Cross-Functional Partnering
- Manage and develop the accounting/finance team
- Partner with:
- Operations leadership
- Store managers
- Ownership/CEO
- Translate financial data into plain-English insights for non-finance leaders
- Bachelor's degree in Finance, Business Administration, or related field;
Accounting certifications (e.g., CPA) preferred. - Minimum of 5 years' experience in Accounting / Finance.
- Strong understanding of employment laws and regulations, with experience in industrial or retail environments.
- Exceptional communication and interpersonal skills.
- Proven ability to build trust and drive engagement across diverse teams.
- Proficient at multitasking, problem-solving.
- Proficiency in accounting software and systems.
- Experience with Microsoft Excel and Office.
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