Assists Finance and Accounting with various accounting tasks.
Assist in compilation of information for monthly financial statements.
Prepare bank reconciliations and the daily cash management report, including making bank deposits.
Prepare necessary journal entries in accordance with generally accepted accounting principles.
Process invoices for payment using vendor payment terms and taking full advantage of any invoice discounts.
Track capital spending on an individual AFE project basis. Assist in variance analysis between actual and budgeted costs highlighting the business events driving the financial results.
Assist in issuance of monthly joint interest billings to working interest owners.
Process cash proceeds received from the sale of oil of gas production using remittance advice detail. Information to be processed will include gross volume, value, severance taxes and transportation/gathering deductions. Establish oil and gas revenue payable balances by owner using the remittance advice detail.
Education, Skills and Experience Required
Currently enrolled in college seeking a degree in Accounting, Finance or other business-related field.
Microsoft Excel skills and proficiency in the use of computer software.
Solid work ethic with a willingness to complete assigned tasks accurately and expeditiously.
Sitting, visual and mental acuity, manual dexterity, hearing, speaking.
Ability to work at computer for long periods of time.