This role will execute and support management reporting, budgeting/planning, long range planning and finance responsibilities, research and analysis, modeling, evaluation of non-routine transactions, project and process improvement efforts, and other duties as assigned. Responsibilities will include involvement in areas of higher financial complexity and impact to the organization. A successful individual in this position demonstrates initiative, effectively influences, and communicates to various stakeholders. The individual in this role can work both autonomously and collaboratively, has the desire to see the big picture, understand purpose, and can prioritize competing individual responsibilities. Primary responsibilities include:
- Financial Planning – Support preparation of the Company’s annual budget, forecast, and long-range planning processes necessary for financial planning activities.
- Reporting – Prepare, analyze, distribute monthly management and budget/planning reports to key stakeholders, providing recurring reports with effective analysis.
- Analysis – Able to develop and apply strategic perspective and knowledge of key financial / operational activities to derive meaningful explanations and analysis supporting effective business decisions.
- Modeling – This role will assist in the corporate modeling (Oracle Planning and Strategic Modeling) and support the preparation of complex visualizations used in executive and Board level presentations (graphical expertise in Excel and PowerPoint is key to this role)
Relationships: Strategic Planning and Asset Optimization Team, Accounting and Tax, Treasury, Reserves Engineering, Marketing, Operations, Land, Investor Relations, and Human Resources. External relationships include software consultants and other service providers.
- Support annual budget and forecast processes as well as ad-hoc modeling:
- Collaborate with FP&A team, Strategic Planning and Asset Optimization Team, Operations, and Business Development on appropriate assumptions and scenarios.
- Preparation and analysis of various Board Meeting PowerPoint Presentations
- Preparation of the annual Business Plan document
- Support preparation of the Company’s long-range plan and NAV models.
- Work with FP&A team and stakeholders to assist with various scenarios and sensitivities based on provided financial and operational plans.
- Preparation and analysis of materials and presentations of long-range plan data.
- Preparation and analysis of internal management reporting efforts.
- Preparation of monthly reports and analysis for key stakeholders.
- Interest in understanding Company performance as compared to Oil and Gas peers.
- Assist with ad hoc projects and analyses as needed.
- Demonstrate accuracy and understanding of processes used in areas of responsibility.
- Identify opportunities to improve systems, processes, and reports.
- Support continuous improvement in FP&A processes and systems to enhance efficiency and accuracy.
- Collaborate cross-functionally with other finance/strategy/operations teams to support business initiatives.
- Advanced MS Office, particularly Excel and PowerPoint visualizations and graphical creation
- Reporting and analytical skills, including financial modeling, and ad-hoc data analysis a plus.
- Strong work ethic and dedication and commitment to the achievement of group and personal goals.
- Developing ability to analyze financial results, assess financial impacts of business decisions.
- Ability to maintain confidentiality, exercise judgment and professional discretion when communicating with all stakeholders (internal and external).
- Ability to work cross-functionally with other teams outside of finance.
- Growing understanding of how strategies align with the business goals and objectives and macro environment.
- Willingness to develop and grow business acumen and industry understanding.
- Support a collaborative team environment.
- Demonstrates accuracy, thoroughness, attention to detail, and organization
- Excellent written and verbal communication and interpersonal skills
- Bachelor’s degree in business, with emphasis in Accounting or Finance.
- Knowledge of exploration and production industry a plus.
- Experience with budget and planning systems such as Oracle Planning and Strategic Modeling a plus
- Minimum of 4+ (Senior) years of related financial / accounting / planning experience - Master’s degree in Finance or Accounting and/or professional certification such as CFA or CPA a plusLOCATION/WORK SCHEDULE: Denver – Hybrid work schedule with ability to commute to the Denver office on short notice and as needed to support business requirements; this role should expect 1+ days in office on average per week.
SM Energy offers competitive compensation and benefits programs which include, but are not limited to, variable pay, health care coverage, retirement plan, protection coverage, time off and leave programs, training and development opportunities and a range of allowances connected to specific work situations. Details are available at Careers :: SM Energy Company (SM) (sm-energy.com).
Applications will be accepted on an ongoing basis until the position is filled.