Oversees comprehensive accounting operations across multiple affiliated entities within the organization.
Establishes and manages partnership and LLC capital accounts, including preparation of quarterly analyses supporting tax projections and distribution calculations (with entity conversions from partnerships planned in the near term).
Handles end-to-end accounting processes for individual business entities.
Prepares month-end reconciliations and consolidated financial statements while supporting adherence to accounting standards, policies, and internal procedures.
Assists in annual budgeting activities along with various accounting initiatives and ad hoc projects as required.
Coordinates updates and corrections within OGSYS (Quorum) reporting decks as needed.
Collaborates with external consultants to support outsourced accounting and operational functions.
Reviews monthly financial statements for investment activity and records relevant data into the accounting system.
Posts payroll journal entries and records tax remittances processed by third-party providers.
Strengthens and maintains internal controls, accounting policies, and procedural frameworks with a strong focus on accuracy and detail.
Supports the completion and rollout of ACH payment processing for oil and gas revenue streams, with future expansion to all payables across three small independent oil and gas operators.