What are the responsibilities and job description for the Vice President Finance position at Edgewater Midstream LLC?
Job Description – Vice President, Finance
Job Title : Vice President of Finance
Location : Houston, TX
Company Overview :
Based in Houston and established in late 2019, Edgewater Midstream provides independent midstream solutions to refiners, producers and marketers of crude oil, refined products and other bulk liquids. The company is led by Chief Executive Officer and Chief Financial Officer, David Anders, Chief Commercial Officer, Brian Thomason, and Chief Operating Officer, Mike Truby.
On December 2, 2024, Edgewater Midstream announced that it closed its acquisition of the Sinco Pipeline refined products system and the Colex East and Colex West refined products terminals from subsidiaries of Shell USA, Inc. (“Shell”) in the Houston refining corridor.
Edgewater is a portfolio company of EnCap Flatrock Midstream (“Flatrock”). Flatrock is a venture capital firm that focuses on identifying, investing in, and enhancing the value of great businesses and attractive assets in the North American midstream energy sector. The firm manages the EnCap Flatrock Midstream Funds I, II, III, IV and V, which together have over $9.5 billion in capital commitments from a broad range of prestigious institutional investors.
Position Overview :
The Vice President of Finance will be a key member of our executive team, with responsibilities that will include helping to lead financial strategy and analytics of the company. This role is ideal for an individual with strong financial acumen, analytical skills, Excel modeling skills, and a desire to work in a small, flat organization. This person will work closely with the CEO to drive business growth and financial success.
Key Responsibilities :
- Work directly with the CEO / CFO to provide insights and recommendations on financial performance, risks, and opportunities.
- Assist in leading the development and execution of the company’s financial strategy in alignment with overall business goals.
- Manage all aspects of financial planning, budgeting, forecasting, and assist in reporting.
- Create and maintain financial models to support business decisions, including revenue forecasting, cost management, and growth project / acquisition analysis.
- Assist in targeting and evaluating new investment opportunities.
- Assist with cash flow management, financial risk management, and capital allocation strategies.
- Manage relationships with external stakeholders, including banks, and other capital providers, insurance providers, and auditors.
Qualifications :
Compensation & Benefits :