I provide executive‑level advisory services that help organizations understand, quantify, and mitigate commodity price risk across natural gas, NGLs, crude oil, and regional basis markets. My offerings blend deep market fundamentals expertise with proven risk management execution.
Core Services
Market Fundamentals & Price Risk Diagnostics
Regional and benchmark (NYMEX, WTI, Mont Belvieu) price behavior analysis
Forward curve interpretation, risk skew identification, and scenario modeling
Real‑time demand modeling for power burn and regional flows
Risk Management Program Design & Execution
OTC derivative strategy formulation (term, structure, pace)
Basis hedge optimization for regional exposures
Physical and financial hedge execution with ISDA counterparties
Controls, segregation of duties, and SOX‑aligned governance
Commercial Strategy & Monetization Optimization
Evaluation of physical sales structures (term, index, basis, transport‑linked)
Pipeline transport strategy (intrastate/interstate, FERC & non‑FERC)
Monthly optimization strategies to enhance netbacks
Ideal Clients
- E&P companies scaling production or entering new basins
Midstream operators needing market intelligence for commercial decisions
Private equity evaluating commodity‑exposed assets
Utilities and industrials exposed to natural gas volatility
Key Differentiators
20+ years of front/mid/back‑office experience across top‑tier operators
Proven ability to generate hundreds of millions in realized hedge value
Trusted advisor to boards, executives, and external stakeholders
Deep basin‑specific knowledge (Barnett, Marcellus, Permian, Gulf Coast, Rockies)