Terminal Inventory Analyst

StevenDouglas

Houston (TX)

On-site

USD 70,000 - 100,000

Full time

4 days ago
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Job summary

StevenDouglas is partnering with an oil and gas client in West Houston seeking an Interim Terminal Inventory Analyst for a contract role on-site. You will ensure timely inventory movements and collaborate with scheduling, trading, and field teams to resolve discrepancies, while supporting month-end closings.

The position emphasizes strong accounting, inventory reconciliation experience, and readiness to travel to terminal sites for physical counts. Training on RightAngle/SAP is provided.

Qualifications

  • Inventory reconciliation experience required; fluids, liquids, petrochemicals, or oil & gas background preferred.
  • Strong accounting foundation.
  • Excellent verbal and written communication skills.
  • Experience with RightAngle and/or SAP is a plus; training provided.

Responsibilities

  • Ensure accurate, timely actualization of hydrocarbon inventory movements across terminal and pipeline systems.
  • Collaborate with scheduling, trading, supply contract administration, master data, and terminal field teams to analyze and resolve volumetric issues and third-party inventory discrepancies.
  • Ensure terminal inventory positions are balanced ahead of month-end close deadlines so all relevant transactions are captured in current-month earnings.
  • Support month-end, quarter-end, and year-end closing activities affecting inventory and terminal agreement revenue.
  • Travel to terminal locations to conduct physical inventory count observations alongside supply, terminal operations, and internal audit teams.

Skills

Inventory reconciliation
Accounting fundamentals
Communication skills

Tools

RightAngle
SAP

Job description

StevenDouglas is partnering with an oil and gas client in West Houston that is in search of an Interim Terminal Inventory Analyst. This is a contract opportunity with potential to convert to permanent, and will be 100% on-site.

Responsibilities
  • Ensure accurate, timely actualization of hydrocarbon inventory movements across terminal and pipeline systems
  • Collaborate with scheduling, trading, supply contract administration, master data, and terminal field teams to analyze and resolve volumetric issues and third-party inventory discrepancies
  • Ensure terminal inventory positions are balanced ahead of month-end close deadlines so all relevant transactions are captured in current-month earnings
  • Support month-end, quarter-end, and year-end closing activities affecting inventory and terminal agreement revenue
  • Travel to terminal locations to conduct physical inventory count observations alongside supply, terminal operations, and internal audit teams
Requirements
  • Inventory reconciliation experience required; background in fluids, liquids, petrochemicals, or oil & gas strongly preferred, though other inventory reconciliation experience will be considered
  • Strong accounting foundation
  • Excellent verbal and written communication skills
  • Experience with RightAngle and/or SAP is a plus but not required — training provided
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