The Role
Provide functional support, guide and assist the Finance Team with respect to Functional issues.
Perform the end of month activities and reconcile with other Modules of Oracle.
Finance Job Responsibilities
Help and guide to clear payments, receipts, transactions.
Check and clear open interface transactions Help and clear the cash management Cashflows, Transfers Cleared status of a cleared payment, receipt.
Perform the general ledger reconciliations.
Perform AR Receipt or AP payment issues if any pending
Guide and assist AP team in performing various transactions.
Check and Clear open transactions, help and identify wrong transactions.
Reconciliations between Order Management and AP.
Clearing the Open transactions in AP. Perform the Recons between AP & GL Perform & Check the Revaluation of Debtors and provide monthly
Recon Statements for Fx. Transactions.
Help & Identify the Transactions in clearing Accounts and post to respective customer accounts. Perform the
Period Closing Activities for Month
End of Year processes.
Guide and Assist AR team in performing respective transactions.
Checking and Clearing Open Interface transactions Help & Identify Wrong transactions causing interface blocks.
Reconciliations between Order Management and AR.
Clearing the Open transactions in AR. Perform the Recons between AR & GL Perform & Check the Revaluation of Debtors and provide monthly
Recon Statements for Fx. Transactions.
Help & Identify the Transactions in clearing Accounts and post to respective customer accounts. Perform the
Period Closing Activities for Month
Fixed Asset
Track the Capital Assets – WIP with AP modules.
Perform Mass Additions / Split / Merge / Transfers Perform Depreciation run every month and Post to GL
Perform the Assets Retirements / Revaluations.
Recon’s – Asset Clearing to GL Account Perform the Period Close on monthly basis.
Perform and Maintain the year end Processes
Improve the General Ledger performance Setting the current Program profile performance.
Finance Journals – Create, Modify, Post, Inquire, ADI Postings Budget journals – Create, Modify, Post,
Inquire, ADI Postings Create and Perform the Recurring Journals.
Perform and Maintain FSG Report Ensuring the Functional Security in General Ledger Ensure the Recons with other Sub ledger Ensuring the
Period Close on monthly basis Running and clearing the Period close Exceptions.
Period Close Management & Consolidations Perform and Maintain the yearend Processes. Inventory Sound
knowledge on Inventory transactions and movements and GL code distributions.
Analysis and Tracking of material movements for each cost group and identify its impact on the GL transactions.
Analysis and Tracking of material distribution for each cost group and identify its impact on the GL transactions.
Perform the Inventory to GL reconciliations and advise the reasons for the differences and suggest solutions.
Reconciliations between the Inter-Org Stock Movements Reconciliation between the Inventory and GL Lines.
Ensuring the Recons with other Sub ledger Ensuring the Period Close on monthly basis Running and clearing the Period close Exceptions.
Requirements for the Finance Job
A Degree in Business / Accounting related studies Oracle Certifications in GL/AP/AR/CM/FAR etc A degree/Diploma / Certification in IT Applications.
Desirable qualified accountant – CPA(K) / ACCA Experience in an ERP especially Oracle Exceptional MS-
Office Skills (Word, Excel & powerpoint)
A minimum of 4-6 years of experience in Oracle EBS Financials in implementation or Support type of projects
Must have good knowledge and experience in Oracle EBS financials (R11i or R12) modules such as AR/AP/GL/FA applications.
Experience in managing activities such as Configurations & Migrations with due process adherence highly desirable
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