Financial Analyst III 7837
Houston, TX
Full Time
Experienced
Position: Financial Analyst III
Position Type: W2 Contract - No Benefits- with possible permanent placement
Position Location: Houston, TX
Daily P&L and Exposure Reporting: Generate and validate daily P&L and exposure reports across a diverse set of commodities including crude oil, gasoline, distillates, fuel oil, Renewables, NGLs
• PnL Attribution and Commentary: Analyze and explain daily P&L movements, identifying key risk drivers and market impacts
• Trade and Deal Validation: Ensure accurate trade capture and representation in risk systems, collaborating with front office and operations to resolve discrepancies.
• Curve and Pricing Validation: Validate market curves and pricing inputs to ensure consistency and accuracy in valuation.
• Cross-Functional Collaboration: Partner with trading, scheduling, accounting, and risk teams to support timely and accurate reporting and issue resolution.
• Process Optimization: Lead and support initiatives to standardize and automate reporting processes. Contribute to the development and enhancement of risk systems, dashboards, and analytical tools.
• Governance & Controls: Support compliance with internal policies and regulatory requirements, ensuring robust control frameworks are maintained
• Team Continuity & Leadership: Provide backup coverage across regions or products and mentor junior analysts to foster knowledge sharing and team development.
• Financial Reporting Alignment: Collaborate with FP&A to ensure mark-to-market P&L aligns with GAAP standards used for external financial reporting.
Technical Skills:
Position Type: W2 Contract - No Benefits- with possible permanent placement
Position Location: Houston, TX
Daily P&L and Exposure Reporting: Generate and validate daily P&L and exposure reports across a diverse set of commodities including crude oil, gasoline, distillates, fuel oil, Renewables, NGLs
• PnL Attribution and Commentary: Analyze and explain daily P&L movements, identifying key risk drivers and market impacts
• Trade and Deal Validation: Ensure accurate trade capture and representation in risk systems, collaborating with front office and operations to resolve discrepancies.
• Curve and Pricing Validation: Validate market curves and pricing inputs to ensure consistency and accuracy in valuation.
• Cross-Functional Collaboration: Partner with trading, scheduling, accounting, and risk teams to support timely and accurate reporting and issue resolution.
• Process Optimization: Lead and support initiatives to standardize and automate reporting processes. Contribute to the development and enhancement of risk systems, dashboards, and analytical tools.
• Governance & Controls: Support compliance with internal policies and regulatory requirements, ensuring robust control frameworks are maintained
• Team Continuity & Leadership: Provide backup coverage across regions or products and mentor junior analysts to foster knowledge sharing and team development.
• Financial Reporting Alignment: Collaborate with FP&A to ensure mark-to-market P&L aligns with GAAP standards used for external financial reporting.
Technical Skills:
- Advanced Excel skills
- Experience with ETRM systems such as SAP, Openlink, Endur, Allegro, or FIS
- Familiarity with Power BI; Python or SQL is a plus
- Commodity markets and instruments
- Trade lifecycle and settlement processes
- Risk and valuation methodologies
- Soft Skills:
- Strong communication skills with the ability to explain complex risk concepts to diverse stakeholders
- Excellent organizational skills and the ability to manage multiple priorities in a dynamic environment
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