Performs daily financial analysis on system generated daily MtM trading performance and issues reports on the portfolio priced position and results.
Collaborates with other team members and stakeholders including Accounting, Refining Operations, Schedulers and Traders, designing and enhancing processes and procedures to enable accurate and timely priced position information.
Validates inputs to MtM results for accuracy and consistency with policies and procedures, tests and validates new data sources enabling faster and more accurate compilation of position data.
Develops and maintains analysis reports and performs special analysis as requested by senior management.
Supports design, development, and implementation of the Supply & Trading portfolio structure.
Tests and validates new data sources enabling faster and more accurate compilation of position data.
Maintains weekly and monthly analysis reports.
Supports the Team on ad-hoc projects when appropriate.
Requirements
Bachelor’s degree in Accounting, Finance, Economics, or related discipline required.
Two (2) or more years of experience in analysis of financial results and reporting and/or experience in refinery or supply operations.
Ability to use and create Power BI reports preferred.
Benefits
access to health, vision, and dental insurance
paid time off
401k matching program
paid parental leave
educational reimbursement
discretionary company-sponsored annual bonus program