Oracle Fusion Finance Lead
jadeglobal
| Company | jadeglobal |
| Category | Finance |
| Location | San Jose CA |
| Remote | On-site (inferred) |
| Employment | Not stated |
| Level | Lead |
| Salary | Not stated by the employer |
| Posted | 3 Aug 2026 |
| Last verified | 11 Aug 2026 |
| Source | Employer ATS (workday) |
Description
Oracle Fusion Finance Lead1 1. 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:
Domain Modules & 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 Management Assets (FA), Cash Management (CE), Bank Statement Reconciliation, Cash Forecasting
Accounting & Reporting Subledger Accounting (SLA), OTBI (Oracle Transactional Business Intelligence), BIP Reports, Smart View