Crude Oil Scheduler

HF SinclairDallas, TX
Onsite

About The Position

HF Sinclair is seeking a Crude Oil Scheduler in Dallas, TX. This role conducts complex assignments for the scheduling department for HF Sinclair under limited supervision.

Requirements

  • A minimum of five years of job-related and industry experience is required.
  • Ability to perform a variety of assignments as they relate to the marketing department and multi-task.
  • Basic to intermediate computer skills particularly in MS Excel to provide written reports and spreadsheets as well as the ability to learn new programs.
  • Strong interpersonal skills with the ability to effectively communicate with others, both written and verbal communication; customer service is necessary to create mutual respect with peers and a positive work environment.
  • Intermediate to advanced computer skills particularly in MS Excel to provide written reports and spreadsheets as well as the ability to learn new programs.
  • Ability to maintain positive and productive working relationships within the department and with other departments.
  • Intermediate reading and writing skills; ability to perform intermediate-level mathematical calculations.

Nice To Haves

  • SAP SD/MM, TSW knowledge is preferred.

Responsibilities

  • Schedules and coordinates daily & monthly crude oil movements on assigned transportation carriers and into assigned refineries and at all trading points, including bulk and lease purchasing
  • Monitors assigned crude inventories which may include daily monitoring of crude movements and inventory positions, communicating with appropriate departments, and optimizing assigned crude inventories
  • Reviews and monitors receipts, deliveries, and exchange balances with trading partners
  • Works with appropriate refinery personnel at the assigned refinery to manage tank levels outside and inside the Refinery if necessary.
  • Provides timely responses and reactions during unplanned situations including short and/or long term supplier volume changes, pipeline throughput reductions, and refinery run rate changes
  • Serves as backup to other schedulers within the organization’s scheduling group including extended rotations with other schedulers
  • Analyzes bill of lading (BOL) and/or batch ticket information as needed to resolve measurement and/or quality disagreements with customers and stakeholders.
  • Liaises with third-party pipeline companies and/or carriers on tariffs, expansion, or other policy matters that affect the company as it relates to the assigned product inventory.
  • Reviews and ensures the accuracy of contract information in the assigned system and that contract obligations are fulfilled.
  • Ensures accuracy of all invoices and cumulative balances are kept at a minimum, working with other departments to facilitate timely crude movements, invoicing, and payments.
  • Manages and maintains good working relationships with customers, exchange partners, suppliers, and/or third-party personnel, working with traders and schedulers to maximize crude movements and values for the Company depending on assigned crude inventory and refinery.
  • Resolves service issues with common carrier pipeline
  • Maintains close communication with the Crude Scheduling Manager and other key personnel, keeping them informed of conditions, activities, and trends in area of responsibility that may have an impact on the business and works closely with Manager to capture market values.
  • Reviews all company contracts and pricing for accuracy, completion, and delivery promptly.
  • Acts as liaison with traders, customers, and other departments regarding contracts and pricing.
  • Creates and maintains agreements and master data customer, vendor, and contract forms (deal sheets).
  • Updates and maintains a procedure manual.
  • Ensures accuracy of all customs reporting related to movement of scheduled crude oil.
  • Obtains all customer/vendor information to set up master data in SAP.
  • Liaises with other departments such as Refinery, Credit, Marketing, Sales, Accounting, Tax, and Data Integrity to ensure assigned customers receive excellent customer service.
  • Ensures contract and pricing documentation is compliant with Audit and SOX requirements.
  • Handles all aspects of issue resolution and facilities clearing month-end errors.
  • Special assignments or tasks assigned to the employee by their supervisor, as determined from time to time in their sole and complete discretion.

Benefits

  • Medical Insurance
  • Vision Insurance
  • Dental Insurance
  • Paid Time-Off
  • 401(k) Retirement Plan with match
  • Educational Reimbursement
  • Parental Bonding Time
  • Employee Discounts
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