Message-ID: <29403930.1075841874345.JavaMail.evans@thyme> Date: Wed, 25 Oct 2000 02:21:00 -0700 (PDT) From: amy.fitzpatrick@enron.com To: portland.desk@enron.com Subject: Deal Control Position Mime-Version: 1.0 Content-Type: text/plain; charset=us-ascii Content-Transfer-Encoding: 7bit X-From: Amy FitzPatrick X-To: Portland West Desk X-cc: X-bcc: X-Folder: \kate symes 6-27-02\Notes Folders\Rainy day X-Origin: SYMES-K X-FileName: kate symes 6-27-02.nsf We have recently had a deal control position become available in West Power Trading. The main responsibilities of this position are: To facilitate the entry of West Power deals into the trading systems including the Services Desk. Follow-up with Deal Clearing Settlements groups in Houston to verify accuracy of trades in the system. This includes timely follow-up with the traders for clarification. Ensure that all trades are entered by a daily deadline. Calculate and report weighted averages of daily price and volume to Dow Jones. Prepare and distribute daily reports to ensure all books are balanced and report discrepancies to management. Track and report daily and monthly error discrepancies to management and deliver reports for possible solutions to rectify errors. Calculate weighted averages between brokered trades and trades executed through EOL. Report any technical mishaps to appropriate personnel in Houston and track computer problems until demonstrated resolutions. Test any updated versions of applications requested by programmers and report back any adjustments needed. If you are interested in this opportunity, please see Jeff Richter or Amy FitzPatrick by Friday, October 27th. Thanks! Amy