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Entry Level Commodity Trading Analyst Jobs (NOW HIRING)

About the Role We are a global commodity trading firm looking for an early-career accountant to ... Prepare monthly SG&A analysis, investigating variances and flagging miscoded or duplicated items

Work closely with commodity traders, risk managers, and business teams to ensure that the analytical solutions are aligned with market, trading and operation activities. * Gather, document, and ...

Work closely with commodity traders, risk managers, and business teams to ensure that the analytical solutions are aligned withmarket, trading and operation activities. * Gather, document, and ...

... commodity trading business * Self-motivated, results oriented, and strong problem-solving skills * Strong technical skills with proficiency in Excel * Ability to independently research and analyses ...

... commodity trading business * Self-motivated, results oriented, and strong problem-solving skills * Strong technical skills with proficiency in Excel * Ability to independently research and analyses ...

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Entry Level Commodity Trading Analyst information

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$59K

$88.6K

$150K

How much do entry level commodity trading analyst jobs pay per year?

As of Aug 9, 2026, the average yearly pay for entry level commodity trading analyst in the United States is $88,621.00, according to ZipRecruiter salary data. Most workers in this role earn between $68,500.00 and $102,500.00 per year, depending on experience, location, and employer.
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Infographic showing various Entry Level Commodity Trading Analyst job openings in the United States as of August 2026, with employment types broken down into 85% Full Time, 7% Part Time, 1% Temporary, and 7% Contract. Highlights an 80% Physical, 8% Hybrid, and 12% Remote job distribution, with an average salary of $88,621 per year, or $42.6 per hour.

Staff Accountant - Commodity Trading

BB Energy

Houston, TX

$50K - $66K/yr

Full-time

Posted 17 days ago


Job description

About the Role


We are a global commodity trading firm looking for an early-career accountant to grow into a full-fledged commodity trading accountant. You will start with the fundamentals - invoice posting, cash application, expense processing - and progressively take ownership of month-end close deliverables spanning corporate accounting, trade accounting, and financial reporting under IFRS.
This is a build-the-whole-toolkit role. Within your first year, you will touch nearly every part of the close: trade accruals, inventory valuation, mark-to-market on physical forwards and hedges, broker statement reconciliations, intercompany, and the group reporting package. You will be mentored directly by the regional controller, and we invest heavily in automation - you will be encouraged to improve and automate the processes you inherit, not just run them.


What You'll Do


Transactional Accounting (from day one)

  • Post AP invoices and support vendor payment processing in Microsoft Dynamics
  • Post cash receipts and perform cash application against open receivables
  • Review and process employee expense reports in Expensify, including receipt verification, coding checks, and booking approved reports to the GL


Month-End Close (progressive ownership)

  • Prepare and post recurring journal entries: accruals and reversals, prepaids and amortization, leases, fixed asset depreciation, payroll allocations
  • Reconcile cash and bank loan balances to bank statements and confirmations
  • Support trade accruals for open costs at month-end using ETRM system data (Symphony and RightAngle)
  • Assist with month-end inventory valuation, including physical inventory reconciliations to terminal statements and weighted-average cost calculations
  • Support mark-to-market entries on physical forward contracts and hedge positions under IFRS 9
  • Reconcile realized and unrealized hedge P&L between ETRM data and broker/clearinghouse statements
  • Assist with intercompany reconciliations and confirmations across global affiliates
  • Perform AR/AP aging reviews, investigate past-due balances, and prepare reclass entries for unapplied cash


Financial Reporting & Analysis

  • Support trial balance reconciliations, tying account balances to supporting documentation
  • Assist in preparing the monthly group reporting package submitted to global consolidation (IFRS)
  • Prepare monthly SG&A analysis, investigating variances and flagging miscoded or duplicated items
  • Support system-to-GL reconciliations between the ETRMs and Dynamics


Automation & Process Improvement

  • Identify manual steps in the close and help automate them - we actively use Excel scripting, AI tools, and system reports to shorten the close, and expect you to contribute


What We're Looking For


Required


  • Bachelor's degree in Accounting or Finance
  • 0-2 years of experience; public accounting (Big Four or similar) background preferred, but strong new graduates are encouraged to apply
  • Very strong Excel skills: pivot tables, lookups (INDEX/MATCH, XLOOKUP), and comfort handling large data extracts; macros/vba knowledge is a plus
  • Exposure to AI tools and genuine interest in using them to work faster and more effectively
  • Detail orientation and a reconciliation mindset - you want the numbers to tie, and you dig in when they don't
  • Clear written communication; comfortable documenting processes and flagging issues to reviewers


Preferred (not required)


  • Coding or scripting experience (Python, VBA, Power Query, or similar) - a significant plus given our automation focus
  • Working knowledge of Spanish
  • Familiarity with IFRS
  • CPA candidacy or intent to pursue licensure
  • Exposure to ERP systems (Microsoft Dynamics) or ETRM systems (Symphony, RightAngle, or similar)


Systems You'll Use


Microsoft Dynamics (GL/ERP) Symphony and RightAngle (ETRM) Expensify (expense reporting) Excel and Power BI AI-assisted workflow tools


Why This Role


Rare early-career exposure to the full trading accounting cycle - physical inventory, derivatives, MTM, hedge accounting - normally reserved for more senior staff
Direct mentorship from the Regional Financial Controller with a defined path to owning full close cycles
Automation-first culture: you will build tools, not just run checklists
Global firm with cross-border exposure to intercompany, consolidation, and multi-entity reporting