
Treasurer
Enviva
公司概况
Enviva
美国马里兰州
2014年
商业模式
可再生能源
Enviva专注于生产和供应木质颗粒燃料,主要用于替代化石燃料,推动可持续能源的使用。他们的产品广泛应用于发电厂和工业设施,帮助客户减少碳足迹。
Enviva的收入主要来自于木质颗粒的销售,此外还包括与客户的长期供应合同。这些合同确保了稳定的收入流,并支持公司的可持续发展目标。
地点与地理
Enviva在美国多个州设有生产设施,主要集中在东南部地区。他们的产品不仅供应国内市场,还出口到欧洲和其他地区,支持全球可再生能源的转型。
公司文化
Enviva的使命是通过可再生能源的使用来推动全球的可持续发展。他们重视环境保护、社会责任和经济可行性,致力于为客户提供高质量的可再生能源解决方案。
Enviva提供一个包容和支持的工作环境,鼓励员工的创新和团队合作。他们相信多样性和包容性是推动公司成功的关键因素。
Enviva重视员工的职业发展,提供多种培训和发展机会,帮助员工提升技能和职业生涯。他们的目标是培养未来的领导者,推动公司和员工的共同成长。
活动与项目
Enviva正在进行多个项目,以扩大其生产能力和市场份额。他们最近在美国南部开设了新的生产设施,以满足日益增长的市场需求。
Enviva致力于技术创新,以提高木质颗粒的生产效率和可持续性。他们正在探索新的生产工艺和材料,以减少环境影响。
Enviva在其运营中实施严格的可持续实践,包括负责任的原材料采购和减少温室气体排放。他们的目标是实现碳中和,推动可再生能源的广泛应用。
职业机会
Enviva通常招聘工程师、生产操作员、环境健康与安全专家等职位。他们寻找具有创新精神和团队合作能力的人才,以支持公司的可持续发展目标。
Enviva为员工提供竞争力的薪酬和福利,包括健康保险、退休计划和职业发展支持。他们重视员工的工作与生活平衡,提供灵活的工作安排。
联系信息
最后更新于 2025-03-27 | 报告问题
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.
The Treasurer will be a strategic financial leader for Enviva responsible for the company’s capital structure, risk assessments, and covenant reporting while managing all aspects of treasury activities. The Treasurer will ensure that Enviva has sufficient liquidity and the banking structure needed to support operations. Partnering with internal stakeholders to identify, measure and mitigate risks, the Treasurer will own the corporate insurance program and develop and execute strategies to hedge against fluctuations in foreign currencies, interest rates and commodity prices. The Treasurer will maintain excellent relationships with banking partners, insurance companies, and ratings agencies and consistently seek opportunities to optimize the company’s liquidity and capital structure while managing and reducing risk.
Responsibilities
Leadership & Team Management
- Lead and develop the treasury team, ensuring alignment with organizational financial strategies.
- Collaborate with departments such as finance, accounting, and legal to support overall financial objectives.
Banking and Financial Institution Relations
- Build and maintain strong banking relationships, negotiate fees, and secure access to financial services.
- Ensure access to necessary capital through loans, credit lines, letters of credit, equipment leasing programs and other financial instruments.
Treasury Operations & Systems
- Develop and implement efficient treasury policies, procedures, and best practices.
- Automate processes, enhance reporting, and minimize errors.
Reporting and Analysis
- Provide liquidity, cash flow, risk management, and investment reports to the CFO, CEO, board, and other stakeholders.
- Collaborate with finance and senior management to align treasury activities with long-term company goals.
Cash and Liquidity Management
- Manage short- and long-term liquidity planning and execution.
- Oversee cash flow forecasting to ensure liquidity meets operational needs.
- Balance cash, accounts receivable, and accounts payables to maximize fund utilization and optimize working capital investment.
- Develop cash management strategies and forecasts for optimal cash positions, including the use of letters of credit.
- Maintain banking relationships to support cash operations.
Debt Management
- Oversee debt portfolio, including issuance, refinancing, and repayment strategies.
- Ensure compliance with all debt reporting requirements and covenants.
- Maintain creditor and rating agency relationships.
Risk Management
- Identify and mitigate financial risks such as interest rate, credit, commodity price, and foreign exchange risks.
- Lead the credit evaluation process for all existing and potential customer and vendor relationships.
- Develop risk management policies and utilize financial instruments and derivatives for hedging.
- Manage hedging portfolio including trade execution and all related documentation and reporting.
- Lead the annual insurance program strategy balancing cost with risk management ensuring that policies are adequate to protect assets and financial positions.
Financial Reporting and Compliance
- Ensure accurate and timely reporting of treasury activities.
- Enforce internal controls to safeguard against fraud and mismanagement.
Qualifications
- Bachelor's degree in Finance, Accounting, Business, or related field.
- 7+ years of experience in treasury with demonstrated success in leading teams.
- Existing relationships with several banks including lending, treasury services, derivatives, etc.
- Experience leading a debt covenant compliance and reporting process.
- Experience leading an insurance program including property, work comp, and D&O policies.
- Advanced Excel proficiency and strong attention to detail.
Preferred Qualifications - What Will Set You Apart
- 5+ years of management experience, with a preference for multi-level reporting structures.
- Advanced knowledge of finance and accounting (balance sheets, income statements, cash flows, etc).
- Expertise in credit evaluations, structured finance and risk management.
- In-depth knowledge of banking and capital markets, including corporate finance.
- MBA preferred.
Travel requirements
- Ability to travel 10% of the time.
Physical Requirements
- Ability to safely and successfully perform the essential job functions consistent with the ADA.
- Able to work on computer screen format for up to twelve (12) hours a day.
Other compensation
performance bonus, equity, and relocation assistance for eligible candidates.
Benefits
- Medical, dental, vision, life, and disability insurance
- Education reimbursement
- 401(k)
- HSA employer contributions
- Paid time off.
- 12 Paid holidays.
- Parental leave
The final pay offered to a successful candidate will be dependent on several factors that may include but are not limited to the type and years of experience within the job, the type of years and experience within the industry, education, training, etc.
Salary Range
$229,500 - $267,750 USD
关于这个角色
2025年3月29日
全职
公司
2025年3月29日
现场
USD 230k–268k yearly
- 贝塞斯达,马里兰州,美国
7+ years in treasury
UTC-05:00