Sr. Strategy & Portfolio Mgmt Analyst

Murphy OilHouston, TX
Hybrid

About The Position

The Sr Strategy & Portfolio Management Analyst will be responsible for supporting a multitude of strategy-related activities, including Strategic Planning, Economics, Financial Modeling, Macro Environment, Peer Analytics and Ad-hoc Analysis as requested from Executive Leadership. The Sr Strategy & Portfolio Management Analyst will work in our Houston Corporate office and work up to two (2) days a week remotely, as business needs allow.

Requirements

  • Bachelor’s degree in Finance, Economics, Engineering, or Planning
  • Minimum 10 years’ experience of Economic/Financial Modeling
  • Advanced: MS Excel, MS PowerPoint
  • The individual is required to follow all applicable safety precautions.
  • Work is performed almost entirely in a controlled (i.e., inside) environment and does not typically subject the incumbent to any hazardous/extreme elements; some positions may require regularly moving or transporting items weighing up to 25 lbs. around the office for various needs.
  • The successful candidate must be able to complete all essential physical requirements of the job with or without reasonable accommodation.

Nice To Haves

  • Oil & Gas (E&P) experience preferred
  • Experience modelling fiscal contracts, including PSCs
  • Experience leveraging different systems and applications in daily workflows
  • Experience maintaining financial models / involved in forecasting processes
  • Ability to work independently on unstructured requests with little oversight / direction
  • Ability to accomplish urgent tasks quickly when speed is a high priority
  • Ability to take initiative / ownership of projects & deliverables
  • Ability to self-teach new concepts / software with minimal manager involvement (i.e., leveraging public information or existing reports/documentation)

Responsibilities

  • Supports the review and analysis of project economics related to Murphy’s portfolio of projects and the development of the associated Long-Range Plan (LRP)
  • Supports the optimization of Murphy’s consolidated portfolio to efficiently allocate capital across different price environments, while accounting for different objective functions / constraints
  • Prepare analysis for different types of Scenarios (e.g., M&A, Exploration Success, Hedging Strategies, Alternative capital structures, etc.)
  • Translate certain strategic scenarios and assumptions into corporate pro-forma cash flow statements, income statements, and balance sheets; as well as key KPIs such as total shareholder return, leverage ratios, ROACE, NAVs, etc.
  • Undertake research on relevant macroeconomic and market trends; some of which may be used in the annual Strategic plan that is prepared and distributed to the executive team and board of directors
  • Own and execute ad-hoc requests that originate from executive leadership or the board of directors with minimal direction / guidance
  • Perform quarterly & annual analysis on how Murphy is performing relative to other peers
  • Prepare analysis for board of director / finance committee meetings which may involve summarizing regular work products as well as ad-hoc work
  • Leverage third-party research and data platforms to supplement analytical deliverables
© 2026 Teal Labs, Inc
Privacy PolicyTerms of Service