What are the responsibilities and job description for the Oracle Financial Techno Functional SME position at Michael Page?
About Our Client
A major financial services firm. This company offers a broad array of investment banking, asset management, and securities services to both individual and institutional clients. It is part of a large financial group, combining global influence with a strong domestic presence and expertise in capital markets, trading, and investment advisory.
Job Description
Key responsibilities for this role include :
- Managing and configuring Oracle Financials and Oracle Fusion Financials, with a focus on writing complex SQL and PL / SQL queries for financial reports and reconciliation.
- Customizing and creating Subledger Accounting Methods (SLAMs) in Oracle, as well as configuring GL structures like calendars and the Chart of Accounts (COA).
- Handling multi-currency setups, primary, secondary, and reporting ledgers, and managing consolidation processes and COA mapping in Oracle.
- Assessing the impact of changes to GL structures, such as COA, calendars, and Essbase cubes, and understanding the downstream and upstream effects.
- Collaborating with non-Oracle subledgers and ensuring smooth interfaces to Oracle GL.
- Utilizing job scheduling tools (e.g., Control M) and applying financial industry knowledge, particularly around trading products and accounting principles.
MPI does not discriminate on the basis of race, color, religion, sex, sexual orientation, gender identity or expression, national origin, age, disability, veteran status, marital status, or based on an individual's status in any group or class protected by applicable federal, state or local law. MPI encourages applications from minorities, women, the disabled, protected veterans and all other qualified applicants.
The Successful Applicant
A successful candidate for this role would have 8-10 years of experience in Oracle Financials, including 3-5 years working with Oracle Fusion Financials. They should possess strong SQL and PL / SQL skills, with the ability to write complex queries and BI reports for financial data extraction and reconciliation.
The candidate should have expert-level knowledge of Subledger Accounting Methods (SLAMs) and experience in customizing and creating SLAMs. They must also be well-versed in GL configuration, including the setup of calendars, Chart of Accounts (COA), and ledger options, and have experience managing multiple currencies, ledgers, and consolidation processes.
Experience working with non-Oracle subledgers and their interface to Oracle GL is important, as well as familiarity with financial industry products and accounting principles. The ideal candidate will also have the ability to assess the impact of changes to GL structures and have a working knowledge of job scheduling tools like Control M. Financial industry experience, particularly with trading products, is highly desirable.
What's on Offer
A two round interview process, and Feburary 3rd start date. The contracts will run for 5 months through 7 / 15 / 2025. Get in process and offered immediately.
Contact
Carlos Merlos
Quote job ref
JN-012025-6654780