What is Our Response?
How to Develop a Response Plan Before an Event Occurs
Presented by: Jeff Morgheim, Industry Consultant, Aucerna
Join the webinar to learn how you can evaluate the impact uncertainty plays when it comes to the opportunities in your portfolio. We will discuss how to create response plans before unfavorable outcomes occur. In these uncertain times, it is critical that companies understand the impact of uncertain outcomes, favorable and unfavorable on their strategic goals. We will examine how companies that wish to stay on course to their strategic goals by using portfolio analysis to build response plans to uncertain outcomes.
Tuesday, January 12th, 2020.
8:30 AM MDT | 9:30 AM CDT | 4:30 PM CET
Topics covered will include:
- Incorporation of uncertainty into portfolio analysis
- Assessing the impact of uncertain outcomes on your strategic objectives
- Using portfolio analysis to craft response plans
Industry Consultant, Team Lead, Business Planning
About the Presenter:
Jeff Morgheim is an Aucerna Industry Consultant based in Houston. Jeff is a financial executive with 30 years of experience in delivering complex economic, risk, and option valuations for oil and gas companies, as well as supporting oil and gas operations. Executive teams have relied on him to establish corporate-wide processes including portfolio, planning, enterprise resource planning, and enterprise risk management systems. Jeff has stood and led these processes at large independents and international oil and gas companies in the US Onshore, Gulf of Mexico, UK North Sea, and Russia. He is a seasoned negotiator, both in traditional settings for business development, but also in crisis situations, as he demonstrated during the Deepwater Horizon incident, leading BP’s negotiations with a multitude of stakeholders across the Gulf States. Jeff is a graduate of The Johns Hopkins University with dual degrees in Economics and Russian.
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6 Ways to Unlock Value with Aucerna Portfolio
Uncovering hidden gems in your portfolio
Join us for a series of webinars demonstrating the use of Aucerna Portfolio to enhance your enterprise’s value generation and risk management capabilities. We will cover a variety of topics that will illustrate methods to uncover hidden sources of value and risk management in your portfolio. Each month we will hold a webinar on specific use cases presented by Aucerna’s experts.
About the Aucerna Portfolio Series
These webinars will be executed on the first Tuesday of every month starting in August. There will be 6 topics in total. In this Portfolio Series, you will learn how to use Aucerna Portfolio to see the true value of your assets and A&D opportunities. You will also learn how to unlock value by creating optionality, a key tool for both increasing value for your enterprise, and managing risks.
- No Opportunity is an Island – Why Standalone Economics Fail to Measure Value
- You want how much? – Assess the Real Value of A&D Opportunities
- Capital Holding You Back? Maybe it is Constraints – The Value of Removing Constraints
- Options? Yes, Please! – The Value of Creating Options
- The View from the Top is the Same – The Value of Creating Multiple Pathways
- What is Our Response? – How to Develop a Response Plan Before an Event Occurs