Financial Analyst

OxyHouston, TX
Onsite

About The Position

Oxy produces, markets and transports oil and natural gas to maximize value and provide resources fundamental to life. The company leverages its global leadership in carbon management to advance lower-carbon technologies and products. Headquartered in Houston, Oxy primarily operates in the United States, Middle East and North Africa. To learn more, visit Oxy Oxy strives to attract and retain talented employees by investing in their professional development and providing rewarding opportunities for personal growth. Our goal is to meet the highest employer standards by ensuring the health and safety of our employees, protecting the environment and positively impacting our communities where we do business. We are looking for an experienced and motivated individual to fill the position of Financial Analyst within our Midstream & Marketing group based in Houston, TX.

Requirements

  • Bachelor’s Degree in Accounting or related degree
  • 3 to 5 years Corporate Accounting Experience (would consider 2-3 years of Public Accounting)
  • Strong analytical and communication skills
  • Ability to successfully manage multiple tasks and meet short deadlines
  • Prior experience in Midstream, Marketing, Energy, or Commodity-based businesses
  • Self-motivated and strong work ethic
  • Ability to analyze data and reach own conclusions
  • Exposure to forecasting, budget, outlook, or planning processes
  • Experience with inventory valuation or commodity margin analysis
  • Independent thinker with the ability to problem solve
  • Takes accountability and strives to increase results
  • Ability to work Overtime required for monthly closing activities

Nice To Haves

  • Midstream & Marketing Oil and Gas experience/background a plus
  • Experience with SQL, Python, or data visualization tools (Tableau/Power BI) a plus
  • SAP & Microsoft Excel experience a plus

Responsibilities

  • Prepare and analyze monthly, quarterly, and annual financial reports, including income statement and balance sheet analysis, with an emphasis on Midstream & Marketing activities
  • Strong ability to interpret large datasets and identify trends in market data
  • Conduct variance analysis compared to outlook, budget, and previous periods, and communicate key drivers to management using dashboards and visual summaries
  • Support monthly close activities by handling accruals, estimates, and tie-outs, ensuring results accurately reflect operational activity in accordance with accrual accounting principles
  • Maintain and review balance sheet account reconciliations, investigate reconciling items, and work with Accounting to resolve issues promptly
  • Develop, maintain, and enhance management reporting tools, including automated reports and analytics to improve efficiency and provide deeper insights
  • Working closely with other departments in recording and analyzing financial data
  • Assisting with internal and external audit requests, as well as other special projects
  • Other duties as required
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