- Supporting Lubricants Accounting in:
- Month end accounting
- Inventory valuation
- Account reconciliations preparation/review
- Performing various assigned financial calculations, maintenance and creation of schedules, reports, review of contracts, invoices and other financial data
- Analysis of sales and volume margins
- Transfer Pricing between PCLI and other HFC entities
- Other areas as needed
- Oversee master data changes in SAP red box
- Assist in audit requests for all statutory and US GAAP accounting requirements
- Participate in the review of the accuracy and completeness of the monthly financial statements, ensuring their integrity through proper reconciliation and analysis, including month end support and variance analysis
- Project execution leadership (authoritative and non-authoritative), including projects relating to process changes impacting inventory and/or sales costing and SAP upgrades and/or implementations
- Compliance with IFRS and HF Sinclair accounting and corporate policies and procedures, internal controls and SoX, including identification of non-compliances, their investigation and resolution
- Support the Finance team from time to time, including assistance with budget, forecasting, and financial statement analysis
Special assignments or tasks assigned to the employee by their supervisor, as determined from time to time in their sole and complete discretion