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Finance Associate, Corporate

Job in Carson City, Douglas County, Nevada, 89702, USA
Listing for: Redwood Materials
Full Time position
Listed on 2026-05-15
Job specializations:
  • Finance & Banking
    Corporate Finance, Financial Analyst, Financial Manager, Financial Reporting
Job Description & How to Apply Below
Position: Staff Finance Associate, Corporate
About Redwood Materials

Redwood is localizing a global battery supply chain that seamlessly integrates recovery, reuse, and recycling - keeping critical minerals in circulation and driving the energy transition. Founded in 2017, we're delivering low-cost and large-scale energy storage and producing battery materials in the U.S. for the first time, all from batteries we already have.

Staff Finance Associate, Corporate

Redwood Materials is currently seeking a Staff Finance Associate to join our FP&A team. Our finance function combines rigorous financial planning and analysis with direct strategic decision support for executive leadership and the board.

The right candidate is a senior individual contributor who operates independently, manages complex modeling and reporting work streams end-to-end, and produces outputs that reach the most senior levels of the organization.

Responsibilities will include:  

Consolidation & Financial Reporting

* Own the monthly consolidated financial outlook, integrating operational forecasts, corporate assumptions, and key risk factors into a unified view for leadership.

* Lead monthly close reporting cycles, including detailed variance analysis with clear narrative on drivers and implications.

* Develop and maintain management reporting packages distributed to the executive team and board of directors.

* Continuously improve the accuracy, timeliness, and clarity of consolidated financial reporting processes.

Long-Range Modeling & Scenario Planning

* Support maintenance and refresh of the long-range financial model, incorporating updated operating assumptions, strategic initiatives, and market conditions on a quarterly basis.

* Build and run scenario analyses, sensitivities, and stress tests to support capital allocation and investment decisions.

* Develop analytical frameworks to evaluate strategic alternatives, new business opportunities, and trade-offs across the corporate portfolio.

* Partner with senior finance leadership to translate strategic priorities into quantified financial projections.

Cash Flow Management & Planning

* Support consolidated cash flow forecasting by integrating actuals, purchase order activity, payment terms, and operational inputs into a reliable short- and long-range liquidity view.

* Drive working capital analysis and support initiatives to optimize receivables, payables, and inventory dynamics.

* Partner cross-functionally to ensure cash-relevant assumptions are accurate and consistently reflected across models.

Actuals Tracking & Financial Controls

* Oversee accurate classification and reconciliation of financial actuals across revenue, cost, and investment categories.

* Conduct comprehensive monthly review and analysis of spend actuals, with variance commentary relative to plan and forecast.

* Identify and drive improvements in financial systems and tools to enhance reporting accuracy and efficiency.

Board & Investor Communications

* Support preparation of board of directors financial materials, ensuring content is accurate, well-structured, and delivered on time.

* Support development of quarterly investor communications that clearly convey operational and financial performance and strategic progress.

* Translate complex financial data into concise, executive-ready narratives for board and investor audiences.

Ad Hoc Analysis & Strategic Support

* Provide deep-dive analysis on high-impact financial and corporate decisions, including capital structure, liquidity, and organizational growth.

* Scope and structure ambiguous problems independently, delivering well-reasoned recommendations under tight timelines.

* Evaluate and recommend tools or process improvements that enhance the efficiency and quality of FP&A outputs.

Desired

Qualifications:

* 5-8 years of increasingly complex experience in financial planning, analysis, and corporate-level modeling.

* Demonstrated ability to execute complex modeling and reporting work streams with a high degree of independence and strong attention to detail.

* Strong background in consolidation, cash flow forecasting, and long-range financial modeling.

* Experience preparing materials for board of directors or C-suite audiences.

* Advanced Excel skills; able to build, adapt, and audit large financial models efficiently.

* Familiarity with ERP and financial planning systems; experience linking actuals data to forecast models a plus.

* Strong cross-functional partnership skills; able to influence and communicate clearly at all levels of management.

* Ability to develop structured frameworks and clear recommendations on ambiguous, high-stakes questions.

* Experience in manufacturing, energy, clean technology, or other capital-intensive industries a plus.

* Bachelor's degree in finance, accounting, engineering, or related field;
Master's or CFA preferred.

The position is full-time. Compensation will be commensurate with experience.

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Position Requirements
10+ Years work experience
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