The Fuel Operations Financial Analyst supports daily supply operations through detailed Excel-based reporting, inventory tracking, and coordination across rail, pipeline, transportation, and wholesale activities. This role is designed for a highly analytical individual with strong spreadsheet and modeling skills who is eager to learn complex operational workflows. Prior experience in energy supply is not required; success in this role depends on curiosity, attention to detail, and the ability to translate data into operational insight. This position offers a flexible, hybrid work structure, requiring a mix of in-office work in Wyoming, MN and remote work.
Key Responsibilities
Data Analysis & Reporting
- Prepare and distribute daily rail volume and shipping reports to rail branches and management.
- Maintain and enhance Excel-based models and tracking tools used for rail movements, inventory balances, costs, and forecasting.
- Prepare three-year needs models by analyzing gallons sold by location to support future supply planning.
- Maintain average cost of LP purchased and fixed/index gas cost tracking reports.
- Automate the current process and determine use of AI to support the analytics.
Rail Operations & Coordination
- Monitor railcar activity daily and update rail tracking sheets.
- Assist with resolution of rail-related issues, including delayed shipments, cars not moving, and release timing issues.
- Track and organize all rail documentation, including Bills of Lading (BOLs), tank car reports, and empty waybills.
- Create monthly rail shipping plans and orders and distribute to suppliers by the 15th of each month.
- Track railcar detention exposure and prepare monthly detention accruals.
Inventory & Supply Support
- Monitor inventory levels and supply positions to ensure contractual obligations are met each month.
- Track and support inventory requirements across multiple supply points, including SPP, Rush City, Inver Grove Heights, Lemont, Southern Valley, and other locations.
- Identify inventory shortages or imbalances and assist in coordinating solutions when supply is constrained or demand increases.
- Maintain daily MAPL pipeline inventory using the Estream system, including:
- Moving barrels (BBLs) between accounts as needed
- Adjusting nominations based on operational requirements
- Coordinating approvals (PTOs) with pipeline operators
- Balance pipeline and cavern inventories at month-end and roll remaining product balances forward.
- Prepare and submit monthly pipeline nominations, due by the 15th of the prior month.
Transportation & Wholesale Coordination
- Develop and distribute a monthly transportation schedule to transporters.
- Update inventory and transportation plans as conditions change.
- Coordinate wholesale load requests by:
- Recording activity in wholesale tracking sheets
- Placing hauling orders
- Following up to obtain required BOL documentation
- Communicate operational changes to transporters, including pipeline shutdowns, allocations, and load assignments.
Financial & Administrative Support
- Process rail invoices by verifying required supporting documentation.
- Record invoice details in rail tracking systems.
- Coordinate ACH payment requests with accounting.
- Support audit, accrual, and reconciliation activities through accurate documentation and reporting.
Contracts, Compliance & Meetings
- Maintain Excel-based records of supply contracts and swap deals.
- Track contract details and follow up to ensure signed copies are received and filed.
- Assist with preparation of Canadian fuel tax reports for rail shipments (training provided).
- Participate in the weekly Monday Supply Meeting, providing data-driven updates on inventory, rail activity, and transportation status.