-
Implement and support Oracle GL, FA, and CM modules
-
Perform configuration and setup of chart of accounts, calendars, ledgers, assets, and bank accounts
-
Support period-end, month-end, and year-end closing activities
-
Manage asset capitalization, depreciation, and retirement processes
-
Handle bank statement loading and reconciliation in Cash Management
-
Analyze and resolve functional issues in financial modules
-
Prepare functional specifications and user documentation
-
Coordinate with technical teams for reports, interfaces, and enhancements