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Senior Oracle CLOUD Financial Functional

This candidate has over 13 years of experience with 8 years focused on Oracle E-Business Suite and Oracle Fusion Cloud financial modules. They have experience implementing Oracle Fusion Cloud financials and procurement modules for clients in various industries. Their experience includes conducting requirement workshops, documentation, system setups, testing, training and go-live support. They are proficient in modules like General Ledger, Accounts Payable, Accounts Receivable, Cash Management, Fixed Assets and have experience with the procure-to-pay and order-to-cash processes.

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0% found this document useful (0 votes)
734 views8 pages

Senior Oracle CLOUD Financial Functional

This candidate has over 13 years of experience with 8 years focused on Oracle E-Business Suite and Oracle Fusion Cloud financial modules. They have experience implementing Oracle Fusion Cloud financials and procurement modules for clients in various industries. Their experience includes conducting requirement workshops, documentation, system setups, testing, training and go-live support. They are proficient in modules like General Ledger, Accounts Payable, Accounts Receivable, Cash Management, Fixed Assets and have experience with the procure-to-pay and order-to-cash processes.

Uploaded by

abid hamza
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
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Senior Oracle CLOUD Financial Functional

Weymouth, MA

• 13 years of overall experience which includes over 8 years of consulting in IT sector & 5.6+ years in
Accounts & Finance domain. 
• Around 8 years of IT experience consists of Implementation, Upgrade, Enhancement, Analysis, Design,
Development, Testing and Support in Oracle E-Business Suite and Oracle Fusion Cloud 
• Have implemented and supported Oracle Fusion Cloud Financial/procurement modules & Oracle Financials-
EBS Suite Release 12 modules for clients that address critical business needs with intuitive and accessible user
experiences across corporate financial environments. 
• Successfully Implemented and provided production GO live support for Oracle Fusion Cloud financials &
procurement module for client in shipping industry – Dubai, UAE 
• Successfully Implemented and provided production GO live support for Oracle E-business suite financials &
procurement module for client in BNFS industry – Mumbai, India 
• Knowledge in modules such as General Ledger(GL), Account Payables(AP), Account Receivables (AR),
Cash Management (CM), Fixed Assets (FA), India local Tax (EB Tax), Purchasing (PO), 
• Conducted requirements gathering workshops, prepared AS-IS(BP-040), TO-BE(BP080), GAP analysis,
Application setups (BR-100), Functional design (MD050) documents and Conducted CRP, UAT sessions and
user training for accounting professions and users using AIM methodology. 
• Experience on Procure to Pay, Order to Cash, Record to Report and Assets to GL Cycle’s Using Multi-Org.
Worked on R12 Financial Modules and MOAC, TCA, Trained the client’s super users and users on the
application and conducting Pilot testing, integrated testing, design validations and setups of the Distributed
ERP applications 
• Exposure in preparation of high-level functional design documents for Custom application development,
Conversions, Interfaces & Reports (RICE). 
• Experience on Data Conversion and Migrations life cycle. Worked in Onsite and Offshore model projects
Knowledge in Financial concepts and related business processes with very good understanding of the various
process cycles of software development including Analysis, Design, and Testing.

Willing to relocate: Anywhere

Work Experience

Oracle Financials Functional consultant


State Street Banking and Trust, MA

January 2017 to Present

Project Description: Application Development, Enhancement and analyst 


Responsibilities: 
• General Ledger Configuration – Ledger, Legal Entities, Currency, Calendar, SLA, COA Mapping 
• Accounts payable Configuration – Financials option, system options, payable options, payable calendar,
payment terms, Aging report definition, bank setup, Payment Process Request – PPR payment templates 
• Bank Format understanding and preparing MD50 document, sharing the understanding with Development
team for development 
• Accounts Receivable Configuration – Transaction type, Transaction source, System options, Auto –
Accounting, Receipt class, Receipt methods 
• Cash Management Configuration – Automatic bank statement generation from bank and uploaded in Oracle
system’s 
• Fixed Asset Configuration – Define Key Flex field, Asset Classification, Asset categories, Asset Book 
• Conversion of Sub ledger closing balance for new legal entity – Roll out project 
• Setup configuration for new Enhancement, customization & Personalization which includes, PO & NON-PO
workflow, Bank Formats, VAT Tax Report – Italy etc. 
• Prepared MD-50 for interface development for source system’s which includes IBS, WSS, Sun etc 
• Configuring the Dev, Test & Prod instance as per the solution design and supporting various test phases such,
QA, UA & FSR 
• Gathering requirement from the client for customization, enhancement and change request. 
• Evaluating the Reports and testing them for the desired outputs after development as Per the Business
requirements. 
• Assist business user’s in UAT for the customized report designed & developed 
• Played significant role in system Integration testing. 
• Tested the entire process of Payables transfer to GL, AP Assets creation and mass Additions create through
Payables. 
• Developed and executed test scripts and drove resolution of fixes to the system prior To User Acceptance
Test. 
• Preparing BR100’s as per solution design and MD50 as per regulatory requirement for various countries. 
• Part of India localization tax configuration for GST implementation for India Roll entity 
• Prepare documentation of R12 Upgrade for testing activities which includes – Master Test Plan, Test cases
with scenario’s etc. 
• Assist Business user in UAT phase for testing the functionality of Oracle E-business suite Release 12 and its
Features 
 
Environment: Oracle EBS – R12.1.3 
Modules: GL, AP, AR, FA, CM, PO

Consultant – Oracle Financials Cloud Consultant


Syntel Internal project

IN

October 2016 to November 2017

India 
Duration: October 2016 to November 2017 (Parallel activity with actual project) 
Role: Consultant – Oracle Financials Cloud Consultant 
Project Description: Internal Project – Oracle Fusion Application – Financials 
Responsibilities: 
• Setup configuration for Enterprise structure, COA, GL, AP, AR, FA, CM etc. modules as a part of fusion
implementation 
• Common & General Ledger setup configurations includes – Uploading of COA values such as business unit,
cost centre, Natural accounts & other segments via Rapid implementation methology of Oracle fusion cloud
module 
• Solution design for structure of Chart of Accounts segment & Intercompany setup configuration in contexts
with existing business structure 
• Worked on Accounts payable setup configuration consists of Common Options for Payables and
Procurement, Manage Invoice option, Manage Payable calendar, Manage Distribution set, Manage Payment
options, Manage Payment Terms, Manage Invoice Tolerance, and Manage Payable Document Sequence etc. 
• Explored ADF spreadsheet template for uploading open invoice of Accounts payable module and upload of
Closing Trial balance in General ledger module 
• Worked on Accounts Receivable setup configuration consists of Define Common Accounts Receivable
Configuration, Manage Receivable’s Document Sequence, Manage Transaction Type, Manage Transaction
Source, Manage Auto-Accounting Rules, Define Receivable Activity, Define Customer, Manage standard
Memo lines, etc 
• Used FBDI Journal Import template for bulk upload of Oracle Receivable transaction & Receivable
customers for closing balance 
• Worked on Fixed Asset module setup configuration consists which consists of Asset Category Key Flex
field, Manage Fiscal Years, Manage Asset Key Flex field, Manage Asset Categories, Manage Creating an
Asset Category, Manage Location Flex field, Manage Asset Book, etc 
• Worked on Cash Management module setup configuration which consists of Manage Bank, Branch, and
Account, Manage Reconciliation Matching Rules, Bank Statement Transaction etc 
• Explored to business user standard operating process which includes – Accounts payable – ADF spreadsheet,
Recurring invoice, Booking of invoice – Standard, prepayment with accounting, Accounts Receivable – FBDI
template for bulk AR transaction, Booking of Transaction, Credit memo, Debit memo with transaction type
and memo line usage. 
• Explored Month end process for reconciliation of GL to subldger – Accounts payable/Receivable 
• Worked on documentation of BR100 – Setup configuration, MD50 – Functional Specification Design, MD70
– Technical Specification design 
• Explored Reporting feature to business which consists of OTBI work area, Smart View reporting, KPI’s &
Dashboard etc. 
 
Environment: Oracle Fusion R12 – On cloud SaaS product 
Modules: GL, AP, AR, FA, CM

Oracle Financials/Procurement Cloud Consultant


Marcura Equities LLC

October 2015 to September 2016

Project Description: Oracle Fusion Financials/Procurement END to END – Implementation 


Responsibilities: 
• Worked as Oracle Lead consultant and solution architect role for Requirement gathering phase for
requirement understanding and map those requirements to Oracle Fusion 
• Preparing Documentation for the requirement gathering i.e. Requirement document, Solution design
document etc. 
• System setup configuration for Fusion financial/Procurement for – Enterprise structure, COA, GL, AP, AR,
CM, PO, FA etc. modules as a part of fusion implementation 
• For bulk data upload like values of COA, Ledger, Business unit etc. used Rapid implementation feature of
Oracle Fusion 
• Worked with the client to complete FBDI Journal Import template, then loaded beginning balances back to
FY Ending 2015 
• Worked on Account Payable module which includes Common Options for Payables and Procurement,
Manage Invoice option, Manage Payable calendar, Manage Distribution set, Manage Payment options,
Manage Payment Terms, Manage Invoice Tolerance, and Manage Payable Document Sequence etc. 
• Worked on Accounts Receivable module which includes Define Common Accounts Receivable
Configuration, Manage Receivable’s Document Sequence, Manage Transaction Type, Manage Transaction
Source, Manage Auto-Accounting Rules, Define Receivable Activity, Define Customer, Manage standard
Memo lines, etc 
• Worked on Fixed Asset module by Setting up Asset Key Flex fields, Asset Categories, Asset Locations,
Asset Calendar and Asset Books. 
• Worked on Purchasing module Define Common Purchasing Configuration, Define Approval Management,
Define Procurement Agents, Define Supplier Configuration, Define Requisition , Define Receiving option etc. 
• Worked on Application Security setup configuration like Creating Implementation Users , Enabling Abstract
Roles, Assigning Roles to Implementation Users, Creating Application Users etc 
• Worked with the client to complete ADF Import Account Combination spreadsheet, then loaded Account
Combinations. Client did not want to allow dynamic insertion turned on. 
• Explored the Oracle Fusion functionalities like ADF Desktop integrator, External Source – FBDI – (File
based Data import) for data migration from legacy to Oracle Fusion 
• Assisted mapping Primary to Secondary (Cash) ledger 
• Configured Cross currency setup for payments in accounts payable module i.e. payment of various currencies
from single ledger 
• Requirement gathered to prepare balance sheet/ Profile and loss account – FRS – Financial Reporting 
• Provided CRP & UAT training to end user & data migration. Successful GO live 8 LE’s with financial
modules onsite. 
• Performed setup configuration for India entity for TDS & service tax configuration as fusion tax setup 
• Structured Implementation of VAT tax for UAE entities – with Oracle Fusion tax feature for future planning 
• Provided GO live Support to business user after implementation for day to day transaction. Provided
Training/Overview to business user on OTBI tool, Smart view, FRS – Financial Reporting studio, KPI’s – Key
Performance Indicator, Dashboard etc. 
 
Environment: Oracle Fusion SAAS – 10.1.7, 11.1.8 and 11.1.9 
Modules: GL, AP, AR, FA, CM, PO

Oracle Financials Functional consultant


NRB bearings

IN

August 2015 to September 2015

Project Description: Custom report development & Documentation, Functional Audit of Oracle Application 
Responsibilities: 
• Requirement understanding with business user and pass on the same to technical development team for
custom report development 
• Preparation of BR100 – Application Setup, MD50 – Functional Design, MD70 – technical Design for new
Custom report development 
• Helping business user in UAT phase for the new developed report as part of change management 
• Verification of Financial module setup configuration based on existing documentation with system
configuration for AP, AR module 
• Guiding the business by providing reconciliation approach between General Ledger and sub ledger modules 
• Integration of purchasing module with accounts payable which includes Purchase Order Matching, Two-,
Three-, and Four-way Matching, Payment on Receipt, Defining Accrual and Variance Accounts , Variance
Accounts, Receipt Accrual etc. 
• Configuration of Tax setup for VAT and Service tax – Validation of tax Reporting which includes –
input/output set off • Prepared Kick off presentation on project plan & schedule. Presentation for Project
planning & initiation to client 
• Preparing GANTT chart with project start & end date details. Major activities – Requirement Understanding
for report development & documentation on the same – (MD -50) 
 
Environment: Oracle EBS R12.1.3 
Modules: GL, AP, AR, FA, CM, PO

Oracle Functional Lead – Finance/SCM


IL & FS

November 2014 to July 2015

Project Description: Re-implementation, Enhancement, Customization and personalization and Development


Responsibilities: 
• Understanding “AS IS” operations and map with “TO BE” processes with Oracle Standard features
customization and Personalization. 
• Requirement gathering from client (Functional/Technical) for the various pain areas & providing solution
with best practice in the market 
• Translate the customer requirement into a scenario to show to the customer, and develop these prototypes 
• Accounts Receivables for restructuring the instance setup configuration includes – Transaction types,
Sources, Receipt classes, Sources, Banks and Bank Accounts, Memo Lines, Auto-Accounting Rules etc 
• Accounts Payable setup configuration includes – Set-up of invoices, debit and credit memos, guarantees,
deposit transaction types, Explore Standard process of Reconlication from sub ledger to General Ledger to
business 
• Implementation of AP/AR netting process in case customer and supplier are same 
• Involved in Analysis, Design, Business Process mappings for Integration project. 
• Prepared MD – 50 functional design documents for custom reports. Issues, form Customization &
personalization etc. 
• Provide guidelines to technical team on report development, form Customization & personalization
developed 
• Configuration of Sub Ledger accounting feature with sweeping of account code combination for Accounts
receivable module as per client requirement 
• Explored new features of Oracle E-business suite Release 12 and configure those in system as part of solution
design 
• Testing for SCM Modules (AR, AP, OM, INV, PO) to make sure flow is working without any issues. 
 
Environment: Oracle R12.1.3 
Modules: GL, AP, AR, FA, CM, PO, OM

Oracle Financials Functional consultant


Avantha Ergo life insurance ltd & Cactus Communication Pvt ltd

April 2013 to October 2014

Duration: April 2013 to October 2014 


Role: Oracle Financials Functional consultant 
Project Description: Functional Audit for ongoing implementation project & Data migration project from
legacy to Oracle system. 
Responsibilities: 
• Attended CRP, Training, UAT session at client’s location provided by implementation partner & finding
gaps in the process of implementation by analyzing the issue 
• Reviewed documents of OUM (Oracle Unified Method) RD011- Future Process Flow, TA040 – Application
Architecture Organization Structure, TA040 – Application Architecture COA, DS-020- Personalization
Strategy, DS-140 – v Design Specification (Functional/Technical), Production setup configuration documents
module wise, COA Segment Values and providing recommendation to client for the gaps (if Any) 
• Developed FSG Reports in GL like (Income statement, Dept Expenses, Inter Company Summary 
• Setup configuration for Accounts payable includes Defined Payment Options, Payment terms, Distribution
Set, Payment Format, Internal Banks, Recurring Invoices, Prepayments, Expense Report Templates, Interest
on Invoice report, Matching options, Adjustment of Prepayments in Payables, Setup for Batch invoices and
Batch payments, Multi-currency invoices and payments. 
• Provide client with solution & recommendation for COA values, Period Closure process, Setup
configuration, Pain areas – Recommendation, New R12 Functionality to explore oracle Application 
• Implemented those area’s which are partially been implemented by the implementation partner i.e.
configuration of AP/AR Netting, Identification in system for Duplicate supplier process 
• Data migration activity for legal entities activity with open items listing & tally the same with legacy system
balance’s 
• Providing approach to client for conversion of data migration i.e. Transaction & Master data 
• Documentation of BRD100, MD050, and MD070 etc. 
• Functional design and design review of Oracle Applications data conversions, interfaces, custom reports and
custom applications. 
 
Environment: Oracle R12.1.3 
Modules: GL, AP, AR, FA, CM

Oracle Financials Functional Consultant


Zreyas LLC

November 2012 to March 2014

Project Description: R12 Upgrade – Functional Testing, Prod. GO live Support 


Responsibilities: 
• Major activities consist of development of R12.1.3 test cases new functionality on word Document for
Various modules viz. Accounts Receivable, Accounts Payable, General Ledger, Order Management, Purchase
Order, Inventory, Fixed Assets, Cash management, Blood pricing, CEMLI’s etc. 
• Worked on functionality of various modules as mentioned above by drafting test cases & reporting the same
on word document to client. Bulk uploading of the above test cases in HPQC Quality center. 
• Manual testing by way of execution of the test cases for the above-mentioned modules with status as (Pass
/Fail) & updating the same in HPQC Quality Center with important screen shots which is a part of validation. 
• Booked defects in HPQC Quality center& getting it resolved with Technical team or functional team & Re
testing the same by providing pass/fail results. 
• Performed production support activity after GO live in R12 upgrade project (offshore 
• Provide solutions to end user for UAT testing of R12 Functionality in oracle new instance. 
• Planning and testing of upgrades, including offshore support of UAT. 
• Impact analysis in current business process due upgrade changes/enhancements. Assisting in development
and testing software applications 
• Preparation documentation of R12 Upgrade – Functional Configurations for Accounting cycle (GL, FA,
CM), Revenue Cycle (AR, OM, BP), Expenditure cycle (INV, PO, AP) modules etc. 
• Part of activities like Pre-Cutover plan, Post Cutover, Verification etc. for the above-mentioned modules. 
• Development/Execution of test case for Vendor, Employee, Invoice, and Remittance related interface etc,
also capturing important evidence in form of screen shots for interfaces. 
• Worked on documentation activity which consists of SRS, design document, test plan, test cases, etc.
Performed production support activity after GO live for AP concur interfaces(offshore) 
 
Environment: Oracle R12.1.3 
Modules: GL, AP, AR, FA, CM, PO, INV, OM, BP (Blood Pricing)

Oracle Financials Functional Consultant


Angel Broking ltd

July 2012 to October 2012

Project Description: Production support Oracle Applications 


Responsibilities: 
• Work with a team of business user for new enhancement implementation and support of Central Corporate
Ledger 
• Provide direction and subject matter expertise for Oracle Financials 
• Supporting and resolving issues arising in Oracle EBS for GL, AP, AR, FA, India localization Tax 
• Defining new master as per request from business – supplier, customer, Bank & branches and COA segment
values 
• Prepare AS-IS of current system, find and recommend work around of GAPS. 
• Prepared BR100, MD050 documents for each financial module 
• Supporting solving Day-to-Day End-User problems. 
• Performing Week/Month end Reconciliation. 
• Direct interactions with users and seeking information as required for resolving issues. 
• Periodic Communication to Users Regarding the process on the issues being worked on. 
• Analysis of the Problem/Issue Reported on Remedy Toll and Suggesting Solutions. 
 
Environment: Oracle R12.1.3 
Modules: GL, AP, AR, FA, CM

Oracle Financials Functional consultant


Edelweiss Financial Services Limited

October 2010 to July 2012

Project Description: Implementation (End to End) – GO live Production Support 


Responsibilities: 
• Mapping of ledger accounts from legacy systems with Oracle CoA for migration and interface purposes.
Configuring of entities – Legal Entity Setups, GL Setups, AP Setups and AR Setups 
• Created and maintained masters like Chart of Accounts, TDS Master, Lookups, DFFs, and Employee etc.
Working Exposure in TCA (Trading Community Architecture) 
• Migration of legacy Trial balances to Oracle Trial Balances and AP Migration. Gathering functional
requirements for reports and getting it developed and testing of developed reports including FSG Reports 
• Reconciling Oracle Trial Balances with Tally Trial Balances during parallel run. Functional support to users
by resolving queries pertaining to GL, AP, AR, FA, CM and reports and training them and auditors 
• Designed solutions to enhance standard Oracle flows for procure to pay, and GL accounting processes for
this rapidly growing specialty retailer that handles over bulk transactions per day. Implemented automatic bank
reconciliation functionality in CM 
• Common Setup’s & GL setup configuration consists of, Multi Org, Reporting Currencies Setups, Chart of
Accounts, FSG, Budgets and Flex fields 
• Accounts payable setup consists of – Financials option, system options, payable options, payable calendar,
payment terms, Aging report definition, bank setup, Payment Process Request – PPR payment templates 
• Accounts Receivables setup consists of – Transaction type, Transaction source, System options, Auto –
Accounting, Receipt class, Receipt methods 
• Worked on Reconciliation of Sub-Ledger modules with GL, Accounting Setup Manager, Inter Company
Accounting and MOAC 
• Extracting various report Data from Discoverer software & Oracle application for Finance team on daily
basis 
• Monthly Opening / closing of period’s ie in GL/AP/AR modules. Working on Consolidation for Entities
lived in oracle Application with Elimination part from KPMG guidelines 
• Providing Training session to New User & Auditors of Oracle Application to help them to Use Oracle
Application & Helps Auditor to Audit a Financial of a Particular Entity. 
• In all 35 roll outs which consist (end to end Implementation). Helping User in preparing Financial of their
respective entities month on month basis with output from Oracle Application. 
• Resolving Auditor Query’s which pertains to Migration part ie from Closing Trial Balance from Old
Software to New Software (Oracle Application). Working on Oracle Apps 12.1.2 version/Discoverer 11g. 
• Checking out for Data from backend by fetching the data by running SQL queries on TOAD as per user
requirement (Finance user needs data dump for accounting purpose providing the same from backend by
running various SQL Quires) 
 
Environment: Oracle R12.1.2 
Modules: GL, AP, AR, FA, CM 
 
Other Domain Experience Summary: 
• Worked with A-one plastics as Accountant for 3 yrs. in Finance & accounts department – Location –
Mumbai, India 
• Worked with E-serve/Citi group in banking process as Associate for 1 yr. in fund transfer investigation
process – Location – Mumbai, India 
• Worked with Saibaba garment as Accountant for 1.6 yrs. in Finance & accounts department – Location
Mumbai – India

Education

MBA in Finance

Welingkar Institute of Management Development & Research



Mumbai, Maharashtra
December 2012

Skills

ACCOUNTS PAYABLE (7 years), FINANCIALS (7 years), ORACLE (7 years), ORACLE FINANCIALS (7


years), CASH (4 years)

Additional Information

Areas of Expertise: 
Functional Expertise: Fusion Financial Offerings Implementation and Oracle E- Business Suite financial
modules General Ledger, Accounts Payable, Accounts Receivables, Fixed Assets, Cash Management,
Procurement – Purchasing etc. 
Industry Expertise: Construction, Manufacturing, Media, Entertainment, Banking & Finance, Broking,
Shipping, Information Technology, NBFC – Non-Banking financial organization 
 
Technical Skills: 
• Oracle Fusion/Cloud Applications R10, R11 & R12 and Oracle Financials-E Business Suite Release 12
applications.

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