Overview In this role you will support the Crude Accounting team in Houston, driving accurate crude volume actualization and financial reporting. You will partner across Scheduling, Trading, and other accounting groups to ensure accurate settlements, reconciliations, and SOX controls. You will leverage technology to streamline processes, identify improvements, and support audits and system upgrades. This is a hands-on role with a clear impact on financial integrity and operational efficiency.
Compensation / Benefits- Industry-leading compensation
- Comprehensive benefits
- 401(k) match with profit sharing
- PTO
- Career opportunities
Responsibilities- Actualize crude oil volumes for pipeline/terminal locations and reconcile to statements
- Process and submit transportation payments for pipeline and terminal activities
- Settle monthly receivables and payables with external customers
- Monitor vendor and customer balances in SAP
- Collaborate cross-functionally with Scheduling, Trading, other crude accounting teams and Pipeline groups
- Coordinate requests from corporate and 3rd party customers and audits
- Maintain documentation and evidence of controls for SOX compliance
- Initiate and implement system upgrades (RightAngle)
- Identify opportunities to improve processes, controls, and efficiency through automation and system enhancements
Key requirements- Bachelor's degree in accounting
- 5-8 years of relevant experience
- Proficiency in Microsoft Office and excellent communication and interpersonal abilities
- General knowledge of Marketing Transactions
- Preferred: Experience with RightAngle and SAP
- Technical familiarity with Power BI, Alteryx, or Robotic Process Automation tools is a plus
- Strong analytical abilities
- Cross-functional collaboration
- Process improvement mindset
- Power BI
- Alteryx
- Robotic Process Automation (RPA) tools