Steven Sistrunk
About Steven Sistrunk
Steven Sistrunk is the Global Risk Manager for Refined Products & Feedstocks at ExxonMobil, with a background in trading analytics and business development at Phillips 66 and IBM.
Current Role at ExxonMobil
Steven Sistrunk is currently serving as the Global Risk Manager for Refined Products and Feedstocks at ExxonMobil since 2021. In this role, he is responsible for developing and maintaining risk metrics and an autonomous market risk limits framework with applicable triggers. His tasks also include the ongoing development, implementation, and upgrading of risk systems, including VaR (Value at Risk) and stress testing.
Previous Roles at ExxonMobil
Before his current role, Steven Sistrunk worked as the Trading Analytics Manager for Refined Products and Feedstocks at ExxonMobil from 2018 to 2021. In this position, he contributed to various trading analytics initiatives, which likely involved data analysis and market intelligence to support trading decisions.
Work Experience at Phillips 66
Steven Sistrunk has held multiple roles at Phillips 66, starting as Director of Global Marine Strategy & Trading from 2013 to 2016. He then moved to the position of Director of Business Development in 2016, followed by serving as a Global Gasoline Trading Strategist from 2017 until 2018. These roles were based in Houston, Texas, and encompassed a range of strategic and tactical responsibilities within global trading and business development.
Early Career and Diverse Roles
Steven Sistrunk began his career at IBM, where he served as a Financial Analyst from 2008 to 2010 and as a Cost Accountant from 2010 to 2011. He then transitioned to a Sales Representative/Internet Manager role at INFINITI of San Antonio from 2011 to 2012. These positions provided him with a broad foundation in financial analysis, cost management, and sales before moving into roles in the energy sector.
Educational Background
Steven Sistrunk holds a Bachelor of Science degree in Finance from Louisiana State University, which he earned from 2004 to 2007. This educational background has equipped him with fundamental knowledge in financial principles, preparing him for his various professional roles in financial analysis, trading, and risk management.