Job Title: Oracle Fusion Finance Functional Consultant – Cost Management & Accounting
Dallas, TX (Remote)
FTE
Primary Skills:
Strong hands-on experience with Oracle Fusion Financial modules, Cost Management, and Accounting
Job Description:
• Provide L1 support for Oracle Cloud Cost Management – which includes Inventory Costing, Receipt Accounting, and Supply Chain Financial Orchestration.
• Hands-on experience with Oracle Fusion Cost Management, configurations, subledger account mapping, and cost accounting period-end validations (month-end/quarter-end/year-
• Perform configurations to add new GL accounts to cost account mappings, subledger accounting rules, and create/manage accounting distributions and processes.
• Deliver post-production support/Hypercare services.
• Create custom reports using Oracle tools.
• Perform root cause analysis on recurring issues.
• Execute Agile data migration processes (FBDI, ADFDI).
• Conduct quarterly configuration and patch validations/testing.
• Analyze and prioritize support requests involving Oracle Fusion Cost Management and inventory transactions, configurations, and customization issues.
• Coordinate post-production support/Hypercare requests.
• Triage issues related to custom reports using Oracle tools.
• Manage incident tickets for production and maintain knowledge base articles for recurring issues.
• Track and prioritize quarterly configuration and patch validation/testing requests.
Requirements:
• 5+ years of experience with Oracle Fusion Cost Management, Inventory, and integrations with Payables/Receivables and Supply Chain Financial Orchestration modules.
• Knowledge of costing methods (Standard Costing, Average Costing, FIFO, LIFO).
• Experience with Subledger Accounting (SLA) and its integration with Financials.
• Proficiency in Inventory Valuation and understanding of cost layers.
• Familiarity with Work in Process (WIP) and Bills of Material (BOM) costing.
• Experience with Oracle SQL & PL/SQL, including writing and optimizing queries.
• Understanding of Oracle costing table structures and relationships.
• Proven ability to debug PL/SQL procedures and troubleshoot complex costing issues.
• Experience with period close processes and reconciliation activities.
• Knowledge of SOX compliance requirements related to financial systems.