The IBM iSeries Financial Systems Support role involves providing comprehensive support for three release levels (670, 660, 650) across core financial modules including General Ledger (GL), Accounts Payable (AP), Cash Management (CM), and Accounts Receivable (AR). The position also includes tax compliance and updates, where the candidate will research and implement 1099 tax code changes across all three release levels, create and distribute Program Temporary Fixes (PTFs), and provide customer notification and implementation assistance. Additionally, the role encompasses iSuite Financial Systems Development in a Web/SQL environment, maintaining and enhancing financial software modules, and developing and implementing database corrections. The candidate will also support custom interfaces for data flow into/out of GL, AP, and MM systems, and provide technical assistance to customers on SQL-related issues. The position requires managing the complete software development lifecycle, assisting customers with establishing new test environments, and providing technical training to customer IT teams on financial applications. Infrastructure management is also a key responsibility, which includes staying current with SQL Server and Windows Server releases, coordinating new environment provisioning, managing application deployments, and conducting thorough application testing and validation.