Inventory Reconciliation Analyst - Oil & Gas

job
  • Adecco
Job Summary
Location
Calgary ,AB
Job Type
Contract
Visa
Any Valid Visa
Salary
PayRate
Qualification
BCA
Experience
2Years - 10Years
Posted
17 Dec 2024
Share
Job Description

Adecco is currently hiring a full-time skilled Hydrocarbon Inventory Reconciliation Analyst to manage and analyze our client’s hydrocarbon inventory based out of Calgary, AB


We are looking for an Analyst to be a key player in tracking and representing refined product movements and inventory. Dive into a dynamic role with broad exposure to logistics management, commodity scheduling, terminal operations, and finance accounting. You'll gain a comprehensive understanding of end-to-end product movement and deal cycle, setting the stage for an exciting and impactful career!


  • Location: Calgary, AB
  • Shift: Mon-Fri, 8 hours/day, work in office
  • Job type: | Full-time | 1-year contract
  • Pay rate: $40- $50/hr


Responsibilities:

  • Complete daily inventory reconciliation of many distribution terminals across Canada
  • Analyze abnormal stock variations as they occur, troubleshoot & work with respective terminal staff to determine cause & correct transactions
  • Complete month-end reconciliation packages for operated terminals while maintaining Sarbanes-Oxley (SOX) control compliance requirements
  • Work with cross functional counterparts in Supply Accounting, Trucking, Supply Ops and Terminal Ops, to support orbit shifting and urgent supply requirements
  • Support development and tracking of new KPIs and operational performance metrics
  • Liaise with multiple stakeholders including finance, scheduling and IT teams, to support requirements gathering to deliver process and technology improvements


Qualifications:

  • Must be legally eligible to work, and reside in Calgary, AB
  • Bachelor’s degree (major in Economics or Finance/ Accounting or Supply chain).
  • 3+ years experience in crude and/or refined products logistics, settlements, or Inventory reconciliation role.
  • Experience working in a trading, finance, or operations environment.
  • Understanding of end-to-end transaction lifecycle, including trade capture, contracts, scheduling, risk management, invoicing and settlements flow of trade.
  • Basic knowledge of how deal entry and scheduling processes impact inventory management, settlements, and tax.
  • Strong Microsoft Excel and Power BI skills, with high attention to detail.
  • Working knowledge of SAP (particularly Materials Management module)


Are you interested in this position? Apply now! Our dynamic team of recruiters will reach out if you qualify for this role.

Other Smiliar Jobs
 
  • Ottawa, ON
  • 1 Days ago
  • , ON
  • 1 Days ago
  • Kitimat, BC
  • 1 Days ago
  • Kitimat, BC
  • 1 Days ago
  • Saguenay, QC
  • 1 Days ago
  • Calgary, AB
  • 1 Days ago
  • Morrisville, NC
  • 11 Hours ago
  • Reedsville, PA
  • 9 Hours ago
  • Birmingham, AL
  • 9 Hours ago
  • Greeneville, TN
  • 9 Hours ago
  • Arden Hills, MN
  • 2 Days ago
  • New York, NY
  • 2 Days ago