Oracle Fusion RTR Functional Consultant

Remote • Posted 10 hours ago • Updated 10 hours ago
Contract Independent
Contract W2
Remote
Depends on Experience
Fitment

Dice Job Match Score™

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Job Details

Skills

  • Accounting
  • Oracle Fusion
  • SLA Configuration
  • Fusion Accounting Hub
  • FBDI
  • OTBI

Summary

Role- Oracle Fusion RTR Functional Consultant

Job Description Summary

The Oracle Fusion Record-to-Report (RTR) Functional Consultant will lead the functional design and validation of core financial accounting processes within Oracle Fusion Financials Cloud. This role is responsible for designing and supporting future-state R2R processes across General Ledger, Subledger Accounting, Fixed Assets, Cash Management, Intercompany, and Financial Close. The consultant will collaborate closely with Finance, Integration, Data Migration, and Reporting teams to ensure accurate accounting, compliant financial reporting, and smooth period-close execution. The role requires deep Oracle Fusion Financials expertise and experience supporting large-scale, multi[1]region ERP transformation programs.

Job Description

  • Lead functional workshops for Record-to-Report processes across General Ledger (GL), Subledger Accounting (SLA), Fixed Assets (FA),

Cash Management (CM), Intercompany, and Financial Close

  • Analyze current-state financial processes and design future-state R2R flows aligned with Oracle Fusion Financials Cloud best practice
  • Configure Oracle Fusion Financials modules including GL, FA, CM, Intercompany, SLA rules, and accounting transformations including FAH where applicable
  • Develop and validate Business Process Design documents, Configuration Workbooks, Functional Design Specifications, and end-to-end process documentation
  • Support chart of accounts design, financial calendar configuration, ledger setup, and reporting hierarchy definition
  • Validate R2R integration touchpoints with Procure-to-Pay (PTP), Order-to-Cash (OTC), Projects (PPM), FAH, and Oracle EPM platforms
  • Collaborate with Integration teams to define and test interfaces for journals, bank statements, asset data, and intercompany transactions using OIC, FBDI, and REST/SOAP services
  • Support financial data migration activities including COA mapping, opening balances, asset conversion, bank configuration, and reconciliation
  • Create and execute test scenarios for SIT, UAT, regression testing, and period-close simulations
  • Validate accounting accuracy across subledgers, SLA rules, FAH transformation rules, and General Ledger postings
  • Provide functional support for cutover execution, period-close readiness, deployment, and post-go-live hypercare
  • Collaborate with reporting teams to validate OTBI, BI Publisher, and statutory financial reports

Job Qualifications

  • Bachelor s degree in Accounting, Finance, Business, Engineering, or related discipline
  • 15+ years of Oracle ERP experience with at least 7+ years of hands-on Oracle Fusion Financials Cloud experience focused on R2R

processes

  • Strong understanding of subledger-to-ledger accounting, SLA configuration, financial reporting, and multi-currency, multi-ledger

environments

  • Experience using Fusion Accounting Hub (FAH) for accounting transformations and integration with upstream systems
  • Familiarity with financial consolidation and planning requirements using Oracle EPM FCCS and EPBCS
  • Experience working with integrations using Oracle Integration Cloud (OIC), FBDI, REST/SOAP APIs, and R2R reporting tools such as OTBI

and BI Publisher

  • Hands-on experience with financial data migration including GL balances, asset conversions, and cash/bank migration
  • Experience supporting multi-region Oracle Cloud deployments across North America, EMEA, and APAC
  • Strong communication, documentation, and stakeholder management skills
  • Oracle Cloud Financials certification in GL, FA, or CM preferred

Required Skills

Accounting

Account Reconciliations

Accounts Payable (AP)

Accounts Receivable (AR)

Bank Statements

Business Process Management (BPM)

Business process model and notation

Cash Management

Collection of Payments

Cost Accounting

Cost Recognition

Data Analysis

Data Flow Diagram

Deferred Income

Depreciation

Direct Tax

Finance

Financial Accounting

Financial Processing

Generally Accepted Accounting Principles (GAAP)

Indirect Taxes

Internal Controls

Invoices

Loss Prevention Plans

Payment Handling

Process Automation/Simplification

Process Discovery

Process Mapping

Process Mining

Procurement

Refunds

Revenue Accounting

Revenue Operations

Revenue Recognition

Simulation

State Taxation

Tax Accounting

Transfer Pricing

Treasury

Use Tax

Value-Added Tax (VAT)

Value Chain

Employers have access to artificial intelligence language tools (“AI”) that help generate and enhance job descriptions and AI may have been used to create this description. The position description has been reviewed for accuracy and Dice believes it to correctly reflect the job opportunity.
  • Dice Id: 90915265
  • Position Id: 8921516
  • Posted 10 hours ago
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