The Enviva team is driven by our shared vision for a renewable energy future. We are a fast-growing, purpose-driven, global energy company specializing in delivering sustainable wood bioenergy solutions. We are the world’s largest producer of sustainable wood pellets, which provide a low-carbon alternative to fossil fuels.
About the Role
Enviva is looking for an Analyst to join our Corporate Finance team to support cash flow forecasting and the management of the long-term corporate model.
Responsibilities
Create and maintain the 13-week cash flow model and weekly cash flow variance analysis
Develop a deep understanding of the business and assist in the management of the long-term corporate model
Prepare various sensitivity and scenario analyses, and create presentations summarizing the impact to cash flow and key financial metrics
Collaborate cross-functionally to gather data and support for key assumptions included in the cash flow forecasts and long-term corporate model
Support the Budget Control process for G&A expenses
Provide analytical support to the broader Finance Team including, Treasury, Investor Relations, and Accounting
Identify opportunities to improve financial processes, enhance data accuracy and integrity, and implement best practices to optimize operational performance