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Resume #84483
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CONTACT INFORMATION:
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Summary of Experience:
Twenty years of practical oil and gas experience and four years of study in Business Management with concentration in accounting, responsible for all operated revenue gas allocations and bookings, gas balancing calculations, oversight of accruals, invoicing third parties including accounting for commodity sales, storage, fees, transport-pass thru's etc, state royalty reports and helping manage revenue close process. Extensive experience in all aspects of production accounting, including gas balancing, scheduling, marketing, pipeline balancing, Minerals Management Service ("MMS") reporting and state and federal royalty and tax reporting.
Education:
Northeast Louisiana University – Monroe, Louisiana Bachelors of Administration in Business Management
Strengths: Gas Balancing, Gas Marketing and Revenue
* Book Gas and Oil revenue on Texas, Oklahoma, Mississippi, Kansas and Arkansas properties.
* Record Gas Balancing on operated wells.
* Understand revenue booked on entitlement vs. sales method and how it relates to the gas balancing.
* Understand cash outs and how it affects the gas balancing.
* Daily interaction with the Minerals Management Services (MMS), Gas Balancing, Revenue, Land, Marketing, and Legal to prepare settlement request or determine if position is uncollectible.
* Reconciliation of third party and inter-company pipeline and storage statements.
* Prepare reports detailing and summarizing gross margin results along with the associated analysis necessary to validate the results.
* Record and communicate prior-period adjustments.
* Create balance sheet reconciliations.
* Preparation of sales distributions, including verification of sales volume, pricing and other contractual terms, preparation of monthly invoices and disbursement of cash to applicable owners.
* Analysis and collection of revenue receivables including resolution of problem issues.
* Analysis of MMS regulations, preparation of monthly MMS reporting and reconciliation of MMS account.
* Preparation of MMS transportation allowances where applicable.
* Monitor gas balancing, pipeline imbalances and production imbalances with purchasers and pipelines. (Includes preparation of balancing statements).
* Preparation and recordation of monthly revenue accruals and cost variance analyses (estimates & actual).
* Analysis of revenue and other general ledger account balances.
* Preparation of support schedules for external and internal audit. Coordination with auditors on their review.
* Preparation of monthly operating reports on revenue related activity.
* Streamlining, simplifying, and documenting Accounting procedures.
* Self starting team leader, team member.
* Confidant, optimistic, devoted, focused.
* High moral character.
* Personable and professional communication and excellent writing skills.
Skill Profile:
Advanced proficiency in using Windows applications, Excel and spreadsheet calculations, Word, Access, Powerpoint and Outlook, SAP, Sarbanes-Oxley.
Significant Experience:
2008 – present Statoil Hydro – HOUSTON, TEXAS
Senior Revenue Accountant
Reconcile monthly natural gas and crude production versus pipeline sales allocation.
Prepare delivered sales volumes and pricing schedules on natural gas and crude along with detailed support by purchaser and property to revenue accounting for purchaser invoicing. Track and compile on a daily basis all applicable gas indices, crude oil postings, and basis differentials for invoicing support provided to revenue accountants.
Primary contact for problem resolution regarding gas and crude invoices with revenue accountants. Prepare monthly Accrual Report for revenue accounting. Work with revenue accountants on the gas and crude imbalancing monthly reports for both operated and non operated properties.
2006 – 2008 W & T Offshore – HOUSTON, TEXAS
Senior Revenue Accountant
Perform accounting functions related to the processing of Revenue from wellhead through payment of royalties. Respond to owner questions, analyze and verify booked information as it relates to owner payment and production variances. Prepare monthly account reconciliations, analyze account receivables to ensure proper bookings and receipts from purchasers. Maintain gas balances positions, invoice customers, assist regulatory accountant in resolving discrepancies. Responsible for system set-ups and changes as they occur. Work closely with other departments (Land, Production, & Marketing) to gather information needed to process revenue.
2005 – 2006 SPN – HOUSTON, TEXAS
Revenue Accountant
Revenue Accountant responsible for ALL aspects of revenue accounting including monitoring and ensuring all revenues are being coded appropriately. Handle reconciliations from wellhead to final sale. Responsibilities entail the prep of all revenue associated vouchers, managing oil & gas allocations, distributing revenue associated reports, monitor volume discrepancies, calculate royalty & third party payments. Reconcile discrepancies between wellhead production and sales volumes, accountable for oil, gas and water production accounting, file the appropriate State and Federal agency reports and review all oil run tickets.
2003 – 2005 Various "Contract" Positions
THE COCA-COLA COMPANY – HOUSTON, TEXAS
Principal Financial Analyst (Contract)
TAUBER OIL COMPANY – HOUSTON, TEXAS
Inventory Accountant (Contract)
APACHE CORPORATION – HOUSTON, TEXAS
Revenue Accountant (Contract)
DUKE ENERGY– HOUSTON, TEXAS
(Contract)
Reviewed and reconciled clearing statement reports, collected and prepared company error account reconciliation and participated in special projects such as documenting internal controls for compliance with Sarbanes-Oxley regulations. Responsible for reconciling inter-company volume and price differences between Apache Production and Apache Gas Marketing. Prepared volumetric reports and statements to regulatory agencies, business partners, pipelines, purchasers and royalty owners. Responsible for preparing, filing and reconciling data for both current and previous Electric Quarterly Reports (EQR) for various entities within Duke Energy for FERC. Prepared and book offshore revenue. Prepare revenue allocations for offshore. Prepare and pay MMS. Reconciled all revenue accounts and tie to General Ledger. Reconciled inventory accounts. Calculated and book payment of all product royalties.
2001 – 2003 EL PASO PRODUCTION COMPANY – HOUSTON, TEXAS
Senior Revenue Accountant
Analyzed, processed, and improved cost of service with an increased recovery of 40% for the El Paso Gathering System. Invoiced customers for current and delinquent gathering fees. Increased collection rates by 25%. Analyzed, reconciled and maintained all properties subject to gas balancing. Prepared gas balancing statements for review by management. MMS royalty reporting – OGAR's and 2014's. Reconciliation of all related A/R and G/L accounts on a monthly basis. Preparation of all sales invoices and assurance of proper payment for those invoices. Reconciliation of all Oil & Gas purchase/sales volumes to the pipeline transportation statements and/or purchaser statements. Responsible for timely updates of the Gas Balancing statements including distribution to customers.
Preparation and booking of annual gas imbalance liabilities.
1994 – 2001 ANADARKO TRADING COMPANY – HOUSTON, TEXAS
Gas Marketing Accounting Analyst / Controller
Responsible for moving an average of 325 million mcf a day. In charge of keeping downstream Gas Controller informed of any production loses. Responsible for the accounting for all wellhead production. Provided Accounting Department with month end production reports. Supplied Marketing with bid-weekly gas sales information. Responsible for providing on-going leadership and functional guidance in physical transaction processing, account reconciliations, margin analysis and resolving issues with both internal/external customers. Primary responsibilities included: Natural gas marketing/pipeline accounting activity associated with supply, service, sales, transfers, imbalance, cashout, storage, and exchange transactions margin analysis and reporting, general ledger account reconciliation/maintenance, and monitoring of regulatory and fiduciary reporting.
Financial Analyst
Prepared and supplied Accounting Department with spreadsheets to bill its customers for gas sales. Responsible for payment and preparation of all third party invoices. Adjusted all sales from nomination to actual. Handled customer service problems with Sales Department and third party invoices.
1991 – 1994 TEXACO INC. – HOUSTON, TEXAS
Gas Balancing
Performed reconciliation of current and historical pipeline imbalances for eight pipelines, reduced imbalances to zero, in compliance with FERC Order 636. Prepared third party invoices for payment and resolved problems with sellers concerning payments. Prepared gas volumes for billing fifty to sixty Texaco customers. Effectively, handled all customer purchase problems. Responsible for formulating, coordinating, and executing financial instruments trading plans or futures trading plans, to balance the overall position of the organization's gas supply and sales. Responsible for monthly point-to-point actualization for pipeline volume.
1989 – 1990 EXXON, USA – HOUSTON, TEXAS
Gas Accountant (Contract)
Ensured the accuracy of calculated and reported royalty payments to the Minerals Management Service (MMS).
Responsible for preparing and filing FERC and state regulatory commission reports. Provided necessary information to management and outside parties.
1988 – 1989 BP EXPLORATION, INC. – HOUSTON, TEXAS
Offshore Revenue Accountant (Contract)
Recorded monthly oil and gas revenue of several million dollars for ten offshore blocks. Computed royalty payments averaging $250,000 per month to the MMS accurately and on a timely basis. Reconciled and analyzed all properties subject to gas balancing. Efficiently prepared gas-balancing statements. Daily coordinated with Block Operator to immediately eliminate imbalances. Responsible for recording all revenue from the sale of oil and gas production. Worked under the supervision of the Revenue Supervisor in the preparation of all required internal and external revenue reports. Analyze producer, transporter and distributor statements. Tolerance variance reports, gas imbalance maintenance, review makeup allocations.
1987 – 1988 UNITED GAS PIPELINE COMPANY – HOUSTON, TEXAS
Allocation Analyst (Contract)
Analyzed and monitored transport nomination process in accordance with published nomination procedure, which resulted in elimination of imbalances. Processed nomination received from shipper, recorded contract requirements, confirmed physical flows, and analyzed contract balances daily. Monitor production imbalances with purchasers and pipelines. (Includes preparation of balancing statements). Preparation and booking of annual gas imbalance liabilities. Responsible for recording information on all pipeline point locations where business transactions occur. Responsible for tracking interconnect points for use in multi-pipeline transportation transactions.
1981 – 1987 NORTH CENTRAL OIL CORPORATION – HOUSTON, TEXAS
Revenue Accountant
Reviewed invoices for proper revenue recognition to ensure that accounting treatment complies with company policy and software revenue recognition accounting literature. Proposed adjustments for management review. Checked and recalculated 1099s if needed. Performed monthly deferred revenue account maintenance, reviewed and analyzed monthly revenue recognition. Prepared periodic revenue and deferred revenue reports to support internal and external reporting requirements. Maintained and controlled royalty accounts. Performed general ledger account analyses, maintenance and reconciliation including deferred revenue, accounts receivable and revenue. Implemented internal control and accounting policies and procedures established by the Controller and CFO. Assisted with the preparation of financial analyses and reports.
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