Responsibilities
- Set up and manage tax configurations in Oracle Fusion, including tax rules, regimes, jurisdictions, fiscal classifications, and calculation logic.
- Diagnose and resolve tax determination problems across accounts payable, accounts receivable, and intercompany transactions.
- Assist with compliance for indirect taxes and work with tax and finance teams during statutory audit processes.
- Implement and maintain intercompany accounting processes across multiple business units, ledgers, and legal entities.
- Define intercompany rules, transaction workflows, AGIS-style configurations, balancing segments, and reconciliation procedures.
- Ensure precise financial consolidation by enabling automated intercompany balancing and elimination entries.
- Collaborate with financial planning and analysis teams on budgeting, forecasting, and integration with Oracle Planning or General Ledger systems.
- Configure budgetary controls, data upload templates, and reporting for budget versus actual analysis.
- Support validation, version tracking, and governance throughout budgeting cycles.
- Engage in gathering business requirements, designing solutions, creating documentation, and executing test plans and user acceptance testing.
- Develop functional specifications, test cases, and training resources such as BR100 and MD50 documents.
- Deliver post-implementation support, troubleshoot issues, conduct regression testing, and review quarterly system updates.
- Partner with technical teams on data migration, interface design, and development of reports, OTBI analyses, and financial reporting structures.
Compensation
Not specified
Work Arrangement
Not specified
Team
Cross-functional collaboration with finance, tax, and technical teams
Not specified