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Job Title:

Oracle Cloud Financials Transformation Program Manager

Company: Andor Tech

Location: Amritsar, Punjab

Created: 2026-04-20

Job Type: Full Time

Job Description:

Oracle Cloud Financials Transformation Program Manager - Immediate Joiners Location: Hyderabad (Preferred) Engagement Type: Contract Work Model: [Onsite / Hybrid / Remote with travel] Rate / Budget: Premium (Top-tier Oracle Financials Talent)Program ContextThis role supports a late-stage Oracle Cloud Financials transformation program approaching first production deployment, followed by phased rollouts.The immediate focus is on execution control across integrations, data migration, testing, cutover planning, production readiness, and post-go-live stabilization.The program manager will work in a multi-entity, multi-workstream, and audit-sensitive, involving Finance, business process owners, IT delivery teams, implementation partners, testing teams, data migration teams, infrastructure teams, support teams, and control/compliance stakeholders. Exact counts for legal entities, countries, users, interfaces, and data volumes will be shared during the formal evaluation process. Role SummaryThe Oracle Cloud Financials Program Manager will act as the end-to-end financial transformation delivery authority, accountable for:Program execution Financial data integrity Controllership alignment Production readiness of core accounting processes This role requires deep Oracle Fusion Financials expertise combined with strong finance domain knowledge, ensuring alignment with statutory, audit, and financial close requirements.The candidate must have led complex Oracle Financials programs through:Build Testing Financial reconciliation Cutover Go-live Hypercare & financial close stabilization Core ResponsibilitiesProgram Delivery & GovernanceLead end-to-end Oracle Financials program delivery across all workstreams Own integrated program plan, RAID, dependencies, and recovery actions Drive structured governance, executive reporting, and escalation Financial Data Integrity & ControlsOwn financial data integrity across GL and subledgers (AP, AR, FA) Ensure reconciliation between GL, subledgers, and source systems Validate end-to-end financial transaction traceability Oracle Financials & AccountingGovern Subledger Accounting (SLA) rules and accounting logic Validate chart of accounts, accounting structures, and reporting hierarchies Oversee intercompany accounting and eliminations Testing & QualityLead SIT, UAT, regression testing, and defect governance Ensure financial validation within test cycles Data Migration & ReconciliationGovern data mapping, cleansing, conversion, and reconciliation Ensure: Opening balances validated Trial balance tie-outs Subledger-to-GL reconciliation Cutover & Go-LiveLead cutover planning as a financial risk event Own: Cutover sequencing Rollback planning Command center execution Financial Close ReadinessEnsure system readiness for month-end and year-end close Validate close timelines and reporting outputs Audit & ComplianceEnsure alignment with SOX / audit / compliance frameworks Support audit readiness and control validation Vendor & Commercial ManagementManage implementation partner delivery and performance Identify commercial risks and support contract governance Decision RightsOwned by Program ManagerExecution decisions within approved scope, budget, timeline Plan sequencing and dependency ownership Test readiness and cutover execution decisions Requires EscalationScope changes Budget increases Go-live approval Financial control or audit-impacting changes Governance ModelDaily stand-ups (critical phases) Weekly program reviews Biweekly steering committee Go-live readiness reviews Cutover command center governance Required ArtifactsIntegrated Program Plan RAID Log Dependency & Decision Logs Defect Dashboard Data Reconciliation Tracker Cutover Runbook Go-Live Readiness Pack Hypercare Dashboard Required Experience12+ years in enterprise program delivery 5+ years leading Oracle Fusion Financials programs Proven delivery of full lifecycle Oracle Financials implementation Mandatory ExpertiseOracle Financials (GL, AP, AR, FA, Intercompany) Subledger Accounting (SLA) Financial reconciliation & balance validation Data migration & cutover execution Multi-entity / multi-country finance transformation Demonstrated OwnershipOpening balance validation Trial balance reconciliation Financial close stabilization Critical Niche Skills (High-Value)Subledger Accounting (SLA) design & validation GL ↔ Subledger reconciliation frameworks Financial close orchestration Multi-GAAP / multi-ledger environments Intercompany eliminations Finance data governance & controls Audit / SOX compliance alignment Oracle reporting tools (OTBI, BI Publisher, Smart View) Financial integration flows Success MeasuresZero critical defects at go-live No rollback during deployment All balances reconciled within tolerance No unresolved financial breaks First month-end close completed on time No audit or compliance exceptions Stable hypercare exit within agreed timeline Candidate Screen-Out CriteriaDo not submit candidates who are:PMO/reporting-focused Lacking Oracle Financials depth Without cutover/go-live ownership Missing data migration & reconciliation experience Limited to module-level delivery Without structured governance experience

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