Joint Venture Accountant
Ember is seeking to fill a Joint Venture Accountant position within the accounting department.
Joint Venture Accountant
We are looking for a highly motivated, self-starter with a strong work ethic and excellent oral and written communication skills to join our downtown Calgary office.
This position reports to the Team Lead – Joint Venture and Operational Accounting and offers an exciting opportunity to build expertise in Joint Venture Accounting. Additionally, the role provides potential for future growth into broader responsibilities, including operational accounting and system administration.
Ember Resources offers an excellent work environment and competitive compensation package. Interested applicants can submit their resume and cover letter no later than December 10th, 2025 by email to careers@emberresources.com
The successful applicant must meet the following:
- 3-5 years Oil & Gas accounting experience, including joint venture accounting
- Excellent communication skills, written and oral.
- Ability to work independently and adhere to tight deadlines.
- Good team player, ability to work with people of diverse disciplines, backgrounds and cultures.
- Ability to be flexible and to adapt to changing circumstances, managing multiple tasks.
- Understanding of accounting principles and internal controls.
- Intermediate to advanced Microsoft Excel skills.
Additional Skills considered an asset:
- Knowledge of Qbyte FM, Optix reporting, EnergyLink, Petrinex and CS Explorer
- Experience with Aucerna (AFE Navigator) & Open Invoice
Primary Responsibilities and Duties:
- Review, code and processing of non- operated & operated Joint Interest Billings
- Review Joint Interest contracts and volumes to ensure invoices are correct
- Analyze billings to ensure accuracy
- Work with partner companies to resolve disputes in a timely manner (Operated & Non-Operated)
- Work with other departments (land, Joint Interest, Production Accounting) within the company to resolve disputes
- Assist in cheque exchange preparations each month
- Reconciliation & collections of Accounts Receivable balances
- Provide support and assistance to the Finance Department as required
- Other duties/tasks as assigned within Joint Venture and Operational Accounting