Post Date
12 / 06 / 2017
Requisition Number
Work Hours
8 - 5


Atlanta Showroom

Job Summary

Who We Are:

We are in the business of creating change.

Interface is a global leader in the design and production of carpet tiles. Its products combine beauty and innovation with functionality and environmental credentials to help customers bring their design vision to life. The company was one of the first ones to publicly commit to sustainability, when it made a pledge in the mid-nineties to eliminate its impact on the environment by 2020. Known as Mission Zero®, it influences every aspect of the business and inspires the company to continually push the boundaries in order to achieve its goal.

What drives us? A positive vision of the future and the determination to make it come true. The moral courage to do what is right, despite all obstacles. An abiding commitment to show that sustainability is better for business. We believe that change starts with us and is transforming Interface from a plunderer of the earth to an agent of its restoration. Through this process of redesigning ourselves, we hope to be a catalyst for the redesign of global industry.


Job Summary

The Manager, Finance will support Interface Americas leading one or more financial analysts in multiple areas including sales forecasting and estimation processes, the month-end, quarter-end and year-end close process, budgeting, monthly, quarterly and annual SOX compliance activities, regional and product profitability analysis, income statement analysis, pricing analysis, commission analysis and reporting. 



Bachelor's degree in Accounting, Finance, Economics, or Business


Skills and Experience

5-7 years' relevant experience

Possess a thorough understanding of financial statements and relationships between income statement, balance sheet and cash flow statements

Hands-on financial professional possessing outstanding technical, analytical and presentation skills

Ability to present complex financial information in simple terms

Experience in collaborating to set up new processes, with strong analytic capability

Demonstrated ability to handle multiple tasks and assignments simultaneously

Excellent knowledge of Microsoft Excel (organizing large amount of data) and Power Point

Hyperion (HFM), and business modeling tools preferred

Clear written and verbal communication skills

Ability to work independently or within a collaborative team structure


Essential Duties

Manages and prepares monthly financial results commentary and presentations for Senior Management.

Manages monthly forecasting, cash flow and CAPEX reporting.

Develops and updates meaningful metrics and reporting tools that can facilitate decision-making.

Actively interpret and review key drivers of performance

Manages aspects of Strategic Plan, Annual Operating Plans and budgeting processes.

Supports internal/external audit requirements on a quarterly/annual basis.

Leverages various software tools to provide flexible reporting and create processes for efficiency and consistency.

Manages projects to support key initiatives.

Prepares and maintains process documentation.

Performs ad-hoc analysis and reporting to various divisional teams.