Prepare presentation materials for client meetings, prospect discussions, internal committees, and capital markets interactions.
Maintain working knowledge of covered clients’ operating strategies, reserve profiles, capex programs, breakeven economics, and key financial/credit metrics.
Support senior bankers as they develop tailored financing and strategic ideas across RBLs, term loans, acquisition financings, hedging strategies, and capital markets alternatives.
Assist in tracking sector‑specific developments, commodity price trends, and comparable company/transaction data to support idea generation and business development.
Serve as a core execution resource for active transactions, assisting in diligence coordination, financial modeling, internal/external materials, and documentation review.
Build and maintain engineering‑based cash‑flow models, borrowing base models, corporate credit models, comparable benchmarking analyses, valuation tools, and portfolio monitoring models.
Support the diligence of RBLs and upstream corporate credit facilities through preparation approval materials, financial analysis, sensitivity cases, covenant assessments, and general trend review and interpretation.
Aid in the review of engineering evaluations (production forecasts, type curves, PDP/PUD distributions, sensitivity scenarios) and summarize key findings for Associates and senior bankers.
Prepare diligence requests, manage data rooms, and support preparations for management presentations, lender meetings, and internal approval committees.
Contribute to ongoing portfolio monitoring, including covenant tracking, borrowing base variance analysis, performance trends, and periodic internal reviews.
Work closely with risk, petroleum engineering, capital markets, syndications, treasury, and sales & trading teams to ensure coordinated and efficient transaction execution.
Participate in internal workstreams such as market updates, model enhancements, and maintenance of internal databases and tools.
Serve as a resource for junior analysts, providing informal guidance on modeling, analysis, and presentation best practices.
Requirements
Bachelor’s degree in Finance, Accounting, Economics, Energy Commerce, Engineering, or a related discipline
2–3.5 years of relevant experience in Corporate Banking, Energy Investment Banking, Leveraged Finance, or Private Credit
Solid understanding of upstream/E&P credit fundamentals—including cash flow forecasting, leverage metrics, covenant structures, and borrowing base mechanics
Strong proficiency in financial modeling (DCF, comparable analysis, borrowing base modeling, A&D analysis) and other Excel‑based analytics
Excellent analytical and problem‑solving skills with the ability to synthesize complex technical and financial information
Very strong communication, writing, and presentation skills with the ability to work effectively in a team‑oriented, deadline‑driven environment
Deep working knowledge of Microsoft Excel, PowerPoint, and Outlook; familiarity with Salesforce or similar CRM tools.
Benefits
health insurance coverage
wellness program
fertility and family building aids
life and disability insurance
retirement savings plans with a generous 401K match