About The Position

The Techno-Functional Lead, Oracle Fusion Financials is a senior role (Senior Consultant / Manager level) that combines functional leadership, solution architecture and design authority, and system administration for Oracle Fusion General Ledger, Accounts Payable, Accounts Receivable, Project Portfolio Management, and Fixed Assets across both implementation and steady-state operation. As functional lead and solution architect, the role owns functional and configuration design for the assigned modules, makes design decisions within program standards, and ensures the subledger-to-ledger accounting flow is correct, controlled, and reconcilable. As an administrator, the role owns ongoing configuration including quarterly Oracle release adoption, support environment and change management. The role is hands-on: it designs, configures, loads and validates data, builds reports, and resolves issues directly, while directing analysts, consultants, and System Integrator resources within the workstream. The role reports to the VP, Finance Transformation and Automation and partners with process owners, the accounting and control teams, Technology, third-party providers, and the System Integrator. Deep platform architecture and custom integration development remain with Technology and the System Integrator.

Requirements

  • Bachelor’s degree in Accounting, Finance, Information Systems, or a related field.
  • Multiple full-lifecycle Oracle Fusion implementations with design-authority or solution-architect responsibility for Financials (GL, AP, AR), with working knowledge of Projects and Fixed Assets.
  • Senior Consultant or Manager-level experience leading configuration design and administration for the assigned modules.
  • Strong understanding of subledger accounting, chart-of-accounts and ledger design, period close, and subledger-to-GL reconciliation.
  • Hands-on administration experience: security and role design, configuration and change management, and quarterly Oracle release adoption and regression testing.
  • Experience with data conversion using FBDI and ADFDI and report build with OTBI and/or BI Publisher.
  • Strong understanding of financial controls, approval workflows, and segregation of duties.
  • Strong stakeholder management and communication skills, and the ability to direct analysts, consultants, and SI resources.
  • Ability to operate at both architecture/design and detailed, hands-on levels.

Nice To Haves

  • CPA, CMA, or Oracle Cloud certifications in the assigned modules (Financials, General Ledger, Payables, Receivables).
  • Experience with Accounting Hub (AHCS) and multi-ledger (primary and secondary) accounting.
  • Experience with multi-country, multi-entity, and multi-currency deployments and statutory/localization requirements.
  • Experience with EPM and consolidation (FCCS) and SmartView.
  • Familiarity with Oracle Integration Cloud (OIC) and SQL for data validation.
  • Experience in cinema, hospitality, retail, food service, entertainment, or another high-volume, multi-location business a plus.

Responsibilities

  • Hold design authority for Oracle Fusion GL, AP, AR, Projects, and Fixed Assets: own functional and configuration design and make design decisions within program architecture and control standards.
  • Translate accounting, control, operational, and reporting requirements into a coherent, scalable, and maintainable module design.
  • Review and approve relevant System Integrator design deliverables for business fit, compliance, and maintainability.
  • Maintain design documentation, configuration workbooks, and decision logs for the assigned modules.
  • Administer configuration, workflow approvals, and data-access controls for the assigned modules, applying segregation-of-duties principles.
  • Own quarterly Oracle release adoption: assess new features, plan and execute regression testing, and manage change impacts.
  • Support configuration migration, and change control across instances.
  • Provide support for the assigned modules, and drive issue resolution and enhancements.
  • Configure and maintain chart of accounts, ledgers, calendars, currencies, and cross-validation and security rules.
  • Design and implement journal workflows, allocations, revaluation, translation, and period-close processes.
  • Ensure the subledger-to-GL accounting flow reconciles and supports statutory and management reporting.
  • Configure supplier, invoice, matching, tolerance, approval, payment, customer, receipt, and collections processes.
  • Define and validate AP and AR subledger accounting rules and reconciliation to GL.
  • Configure project templates, costing, budgeting, capitalization, and billing; and asset categories, books, depreciation methods, and the CIP-to-asset process.
  • Validate that project and asset costs flow correctly to GL and reporting.
  • Lead data conversion for chart of accounts, balances, open AP and AR, suppliers and customers, projects, and asset registers using FBDI and ADFDI; validate and reconcile converted data.
  • Support integrations between the financial modules and source or third-party systems and validate end-to-end accounting.
  • Build and execute test scripts across SIT and UAT and drive defect resolution.
  • Build and maintain financial reports and reconciliations using OTBI, BI Publisher, and Financial Reporting or SmartView as applicable.
  • Establish period-close reconciliation and control checkpoints for the assigned modules.
  • Support cutover planning, opening-balance validation, go-live execution, and hyper-care for the financial modules.
  • Transition into steady-state administration and the post-production operating model.
© 2026 Teal Labs, Inc
Privacy PolicyTerms of Service