Oracle Financial Accounting Hub (FAH) Consultant
Artech Information Systems View all jobs
- Toronto, ON
- Contract
- Full-time
Location: Toronto, Ontario
Duration: 10 MonthsIntroductionThe Oracle Financial Accounting Hub (FAH) professional is responsible for designing, configuring, and supporting Oracle FAH to enable sub-ledger accounting, event-based accounting, and seamless integration between upstream systems and the General Ledger. The role requires close collaboration with finance, business, and technical teams to ensure accurate accounting, compliance, and reporting.Required Skills & Qualifications
- Strong hands-on experience with Oracle Financial Accounting Hub (FAH).
- Solid understanding of accounting principles.
- In-depth knowledge of sub-ledger to General Ledger accounting flow.
- Experience with Oracle Fusion Financials or Oracle E-Business Suite (EBS) financial modules.
- Knowledge of Oracle GL and SLA (Subledger Accounting).
- Strong understanding of accounting rules and reconciliation processes.
- Primary technical skills: Oracle FAH and PL/SQL.
- Prior work experience at client or in client's Industry
- Banking, Financial Services, and Insurance (BFSI) accounting experience (preferred).
- Exposure to regulatory and audit compliance processes.
- Experience in large-scale ERP or finance transformation programs.
- Exposure to data migration and system modernization initiatives.
- Strong stakeholder communication and documentation skills.
- Ability to work in Agile or hybrid delivery models.
- Design and implement Oracle Financial Accounting Hub (FAH) to support complex accounting requirements.
- Analyze source systems and define accounting events, journal entry rules, mappings, and derivation rules.
- Configure FAH components including Accounting Event Classes, Accounting Methods, Journal Line Definitions, Mapping Sets, and Descriptive Flexfields (DFF).
- Ensure end-to-end integration between FAH, Oracle General Ledger (GL), and upstream transaction systems.
- Support Subledger Accounting (SLA) setup and reconciliation processes.
- Partner with finance teams to validate accounting outputs and ensure regulatory compliance (IFRS, GAAP, local statutory requirements).
- Perform unit testing, integration testing, UAT, and production validation.
- Support period close activities, reconciliations, and audit requirements.
- Prepare functional design documents (FDDs), configuration workbooks, and test scripts.
- Collaborate with technical teams on data extraction and transformation from source systems, FAH inbound interface design (file-based or middleware-driven).
- Support error handling, accounting failures, and interface issue resolution.
- Provide functional inputs for reports, validations, and control frameworks.