Calgary, Alberta, Canada
- Scheduling all liquids petroleum deliveries on Pembina-operated pipelines including trucking logistics - Working closely with trading to manage shipper balances for all streams and apportionment tracking - Coverage of stream trade desk as well as spot sale arrangements when needing to balance shipper positions with the pipeline - Negotiating lease agreements with 3rd party facility operators - Tracking Crude, Condensate and NGL equalization's at a Tourmaline operated terminal to ensure quality assurance/control and value preservation - Coordinating 3rd parties on pricing/volume confirmations - Month-end contributions - preparing Revenue estimates/actual's; verifying invoices for correct pricing and volumes and assisting with Cheque exchange
- Running daily production/allocation reports - Maintain weekly import/export and storage reports - Distribute take-in-kind notices and change of purchaser notices - Maintain allocations on pipes where Tourmaline is common stream operator - Daily balancing on 4 pipes - Schedule and nominate volumes on all pipes - Alliance Monthly/weekly reporting
- Performed Forex trades and tracked daily position - Valued the portfolio, derivatives and equity products at month end using FinCad 11 - Completed liquidity updates and produced three month liquidity forecasts at month end - Invested Money Market and Statutory term deposits for various Credit Unions - Actively engaged in the implementation of a new treasury platform, participated in multiple conference calls and conducted extensive research
- Participated in an ERP project implementing SAP software for the Suncor merger with Petro-Canada - Responsible for data cleansing/mapping of Material Master information to assigned data document repository sources - Analyzed and developed an understanding of the current state of field data acquisition and data quality processes - Uses SAP and Excel extensively to perform daily tasks and assist the SCM team