In this role, the selected candidate will provide information and assistance to employees from governmental and/or regulatory agencies, auditing firms, management, and others concerning accounting processes and various financial reports.
In this role, you will perform routine aspects of professional accounting assignments; checks journal entries for accuracy; and assists in preparing financial reports / statements; assists in day to day maintenance of Property related GL accounts.
The Accountant role is responsible for overseeing the accounting practices and accuracy of the Properties and Concession accounts, process, systems and the review and reconciliation of all assigned balance sheet accounts.
In this role, you will assist with reporting oil, gas, and NGLs royalties, both arms-length and non - arms - length, in a timely and accurate manner through ONRR to ensure correct payment obligations and reporting to governmental agencies.
In this role, you will serve as partner with the Financial Planning & Analysis ( FP&A ) group and cost center managers to facilitate the creation of expense forecasts and understand desired financial information needs.
In this role, you will under general supervision, provides accurate and timely data entry support for accounts receivable and other accounting functions for an assigned team with a defined portfolio of company properties.
In this role, the selected candidate prepares tax returns, tax declarations, and other required reports so that they are submitted accurately and on time; analyzing tax laws and regulations and prepare technical reports on how they impact the organization's operations.
The Tax Accountant is primarily responsible for the preparation and review of the Company's federal and state tax filing obligations, in addition to assisting the tax manager and director with the quarterly and annual tax provision calculations, as well as other duties as required.
The Project Accountant is responsible for monitoring the progress of projects, investigating variances, approving expenses, and ensuring that project billings are issued to customers and payments collected.