-Actualization of scheduled Crude deals associated with equity Crude purchases and Crude sales including verification of volume and prices with internal/external counterparts
-Settlements corresponding to Crude purchases, Crude sales and Crude tariff costs
-Management of crude inventory levels throughout the month including pipeline gain/loss calculations
-Ability to work and communicate effectively with a variety of individuals, including internal and external accountants, traders, schedulers, etc.
-Reconciliation of volumetric differences by location, including working with internal and external counterparts to resolve outstanding issues
Requirements:
-Bachelor's Degree in Accounting or Finance
-5 plus years in a similar role
-Proficient in Microsoft Office
-Experience in financial reporting