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Jade Global

Oracle Fusion Finance Lead

Posted 5 Days Ago
Be an Early Applicant
In-Office
San Jose, CA
Senior level
In-Office
San Jose, CA
Senior level
Serve as onsite Oracle Fusion Finance lead advising clients, aligning accounting processes to Oracle Modern Best Practices, designing and configuring core financial modules, overseeing integrations (SLA, intercompany, tax), directing offshore delivery and data migration (FBDI/HDL), and leading UAT, cutover and go-live finance activities.
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Oracle Fusion Finance Lead11. Onsite Client Engagement & Business Transformation
  • Executive Advisory: Act as the primary onsite point of contact for client finance leads, steering committees, and corporate controllers; translate complex financial requirements into standard Oracle capabilities.

  • Process Alignment: Lead onsite discovery and CRP (Current Requirement Playback) workshops to align client accounting processes with Oracle Modern Best Practices (OMBP).

  • Scope & Governance Management: Manage scope boundaries onsite, evaluate custom change requests (RICEFW), and minimize customizations by driving standard SaaS adoption.

2. End-to-End Finance Solution Architecture & Configuration
  • Core Financials Lead: Lead the architectural design and hands-on setup across key modules: General Ledger (GL), Accounts Payable (AP), Accounts Receivable (AR), Fixed Assets (FA), Cash Management (CE), and Expenses.

  • Enterprise Structure Design: Define Chart of Accounts (COA) structures, ledgers, primary/secondary ledger relationships, legal entities, business units, and financial reporting hierarchies.

  • Intercompany & Multi-Org Setup: Architect multi-currency, intercompany accounting (AGIS/Intercompany Engine), and tax structures (e-Business Tax / Oracle Financials Tax).

3. Cross-Pillar Integration (Finance + SCM)
  • SCM Integration Oversight: Partner closely with SCM and Manufacturing architects to ensure seamless subledger accounting flows across Order-to-Cash (O2C), Procure-to-Pay (P2P), and Inventory Costing.

  • Subledger Accounting (SLA): Configure and customize Subledger Accounting rules to automate complex accounting entries triggered by logistics, inventory transfers, and manufacturing events.

4. Offshore Coordination & Delivery Management
  • Offshore Team Direction: Translate onsite business requirements into clear functional specs (FDDs) for the offshore delivery team; review technical specs (TDDs) and unit testing outputs.

  • Data Migration & Testing: Lead data conversion strategies for financial opening balances, open items (AP/AR), and historical transaction data using FBDI/HDL; oversee User Acceptance Testing (UAT).

  • Cutover & Go-Live Support: Plan and execute financial cutover activities, historical reconciliation, and period-close support during hypercare.

🧩 Oracle Finance Functional Matrix

A qualified Onsite Finance Lead must possess deep expertise across the following core financial modules:

DomainModules & Key Capabilities

Record-to-Report (R2R)General Ledger (GL), Financial Reporting Web Studio, Allocations, Intercompany Accounting, Period-End Close

Procure-to-Pay (P2P)Accounts Payable (AP), Payments, Supplier Portal integration, Expense Management

Order-to-Cash (O2C)Accounts Receivable (AR), Advanced Collections, Revenue Management (ASC 606 / IFRS 15)

Asset & Cash ManagementAssets (FA), Cash Management (CE), Bank Statement Reconciliation, Cash Forecasting

Accounting & ReportingSubledger Accounting (SLA), OTBI (Oracle Transactional Business Intelligence), BIP Reports, Smart View

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