Allow our team of market and compliance experts to become an extension of your organization.

Our services are as diverse as the risks that affect your business. From earnings risk management, asset valuations, credit and debt structuring, to fuel optimization, nominating, scheduling and balancing, to invoice reconciliation and management, producers, consumers and market participants engaged in large energy and commodity transactions will benefit from our expertise in these volatile markets.

There is no substitute for depth of industry expertise. Organizations need to understand regulatory changes, operations dynamics, shifting market environments, and financial and physical positioning across the forward curve to compete and thrive in their sector. Mobius Risk Group’s team is a diverse group of uniquely talented individuals across industry disciplines to ensure your business has access to the most advanced market, operations, regulatory, and compliance expertise.

All of our services are available as a stand-alone subscription service or as part of our comprehensive retainer services. Contact us for more information.

Our Services

Financial Risk Management Services

  • Quantification and Assessment of Financial Exposure
  • Customized Risk Strategy Development
  • Policy and Protocol Development
  • Risk Strategy Management
  • Volume Forecasting and Budgeting
  • Market Analysis and Monitoring
  • Market Forecasting
  • Market Updates
  • Decision Support
  • Negotiation
  • Execution (as Agent)

Physical Producer Services

  • Physical Market Intelligence
  • Market Qualification, Comparison and Analysis
  • Nominating, Scheduling and Balancing
  • Transportation Pipeline Analysis
  • Basis Hedge Strategy Development
  • Market Negotiation
  • Decision Support
  • Execution (as Agent)
  • Pipeline Tie-In Negotiations
  • Gas Processing (Economic Evaluation & Contract Negotiation)
  • Accounting and Invoicing

Reporting & Compliance Services

  • Better Corporate Risk Policy Compliance
  • Pricing and Cash-Flow Certainty
  • Better Counter-Party Collateral and Cash Obligation Management
  • Better Invoice Review and Reconciliation Leading to Better Cash-Flow and Earnings Protection
  • End of Period Compliance
  • Forecasting and Budgeting
  • Market to Budget
  • Value at Risk
  • Credit Exposure
  • Dodd Frank Compliance
  • FERC 704 Compliance
  • FAS 133/157 Compliance
  • Sarbanes-Oxley Compliance