Job title | Principal Investors Relations & ESG | Grade | |
Asset | Finance & Procurement | Function | Investor Relations & ESG |
Location | Oman – Muscat | Budget control | *OPEX and/or CAPEX and/or Revenue amount as relevant* |
Reporting to | Head of Investor Relations & ESG | Direct Reports | |
Job purpose To lead the development and execution of the Investor Relations and Stakeholder Management strategy, ensuring transparent, consistent, and timely communication with investors, analysts, and external stakeholders. The role is responsible for managing key capital market disclosures, overseeing investor engagement initiatives, and providing strategic insights to senior leadership, thereby enhancing the company’s market reputation, investor confidence, and long-term shareholder value. The position will act in accordance with the OQEP’s Mission, Vision, Values & Strategies, as well as, policies, guidelines, and international standards, supported by an IT Technology platform, HSE standards, Omani’s government & other legal justifications, and best international practices in consonance with national objectives. |
Main tasks and responsibilities Investors Relations and Stakeholder Management | Regular external reporting activities: - Support Head of IR & ESG preparing Company’s key messages and ensure data required by the financial markets are provided in a clear and concise manner on a timely basis, including all regulatory announcements and disclosures
- Work with the external IR advisory consultancy and internal OQEP team to ensure all capital market related press releases are produced on a timely basis
- Maintaining the Investor Relations section of the corporate website; and preparing other collateral and presentations, including the annual report and investor packs to support analyst/investor outreach
Investor targeting/Analyst outreach - Preparing Competitor and Peer-group analyses; Shareholder and Bondholder identification including supporting external bondholder and shareholder identification service providers
- Supporting Head of IR & ESG developing an annual investor targeting programme and the annual calendar of IR engagement plan to provide regular contact with principal bondholder, shareholder, including potential bondholder and shareholder
- Prepare capital markets communications literature and presentations, slide show packs and roadshow materials
- Supporting periodic investor sessions, non-deal roadshows, capital markets day, investor meeting, supporting ad hoc analyst and investor tours, ensuring supporting materials are prepared as necessary
- Supporting Head of IR & ESG maintain regular contact with buy-side and sell-side analysts, including responding to ad hoc queries
Ongoing management of IR activities - Preparing share price monitoring report
- Monitoring analysts’ forecast on an ongoing basis, comparison with the Company’s own forecasts
- Monitoring analyst research reports on the Company and its peers
- Supporting Head of IR & ESG preparing an annual plan and budget for the IR function
- Maintaining a database of all investor/broker contact
- Supporting execution of Debt Capital Market IR programme
- Supporting good relationship with the Rating Agency
- Liaise with external stakeholder events and programmes (Investor conferences, conference calls, roadshows)
- Supporting the production of the Annual Report in conjunction with other relevant business vertical
| Reporting | - Coordinate information gathering from multiple sources, on key drivers behind the numbers and agree on comments to be incorporated into the reports
- Support Business Reporting and Monitoring improvement including capabilities, procedures and practices.
- Maintaining Investor Data Base for meeting with executive management.
- Maintaining investor relation calendar
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Key interactions Internal: Relevant functions under chief executives (CFO, COO, CCO, and general Counsel) and JV and Operated Assets team. External: equity and fixed income analyst, MSX, FSA and relevant investment community |
Notable Working Conditions. Office based, moderate to intensive computer screen use. |
Education requirements | Minimum qualification is a bachelor’s degree in finance, Business & Marketing |
Language | Excellent in reading, writing, and speaking English Language (Required), Arabic Language is desired. |
Background and experience | Competencies and skills |
- 10-12+ years of relevant experience, preferable previous experiences working in oil and gas company.
- 3+ years experiences working in corporate finance and/or capital market environment
- Have a good capability to analyse and interpret consolidated financial statements.
- Experienced in developing high-quality management reports and investor-focused presentations.
- Able to act as coordinator for multiple team (internal and external)
- Solid understanding of sustainability and ESG-related topics and frameworks.
- Have knowledge to evaluate business plans and sustainability indicators.
- Familiar with capital market expectations, corporate governance practices, and investor engagement strategies.
- Comfortable working in fast-paced, cross-functional environments with tight deadlines.
| Soft skills: - Strong communication skills (Written and Verbal)
- Strategic Thinking – Aligns IR efforts with business goals.
- Executive Presence – Engages confidently with senior stakeholders.
- Stakeholder Management – Builds strong, trusted relationships.
- Analytical Mindset – Interprets data to drive insights.
- Collaboration – Works effectively across functions.
- Adaptability – Handles change and pressure well.
- Attention to Detail – Ensures accuracy in all outputs.
Technical skills: - Financial Modeling – Builds and interprets valuation models.
- Capital Markets – Understands investor behaviors and trends.
- Regulatory Reporting – Ensures compliance with disclosure rules.
- Presentations – Creates compelling investor materials.
- CRM & BI Tools – Manages data and stakeholder tracking.
- Project Management – Leads IR campaigns and events.
- Excellent business and technical report writing skills.
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