Accountant I - 009285
Accounting for Midstream crude activities
Issue settlement statements, reconcile price and volume differences
Reconcile volumes with EOG revenue accountants
Record inventory and imbalance transactions
Prepare WASP and weighted average costs statements
File monthly and annual state reports
Apply cash receipts
Record journal entries - record crude purchases, sales, fee revenue, transportation expenses, flash (estimate)
Reconcile inter-company accounts for proper eliminations between affiliate companies
Reconcile Balance Sheet accounts
Reconcile AR balances for prior months
Set up new property numbers
Update desk procedures as needed
Support audits (internal and external)
Other activities as appropriate