*PeopleSoft FSCM *
*Montclair, NJ*
*4-6 Months*

*MINIMUM QUALIFICATIONS:*
Deep experience in successfully completing month-end and year-end close
processes in a post-production support environment.
Deep expertise in Book to Bank reconciliation and related troubleshooting.
A thorough understanding of PS financial applications, PS Query, PS
Security, PS Application Designer and Oracle SQL Plus
Knowledge of Data Flow between Cash Management, GL and the related
sub-modules involved in the Book to Bank
Five years overall experience with the following PeopleSoft FSCM 9.2
modules: Accounts Receivables, Billing, Bank Setup/Processing).  Must
understand integrations to General Ledger and Commitment Control
At least two years in a hand-on Production Support capacity as the lead
over AR, Billing and Bank Setup/Processing (e.g Bank Statement Processing
and  Reconciliation).
Experience auditing and optimizing PeopleSoft module configuration for AR,
Billing and Bank Setup/Processing (e.g Bank Statement Processing and
Reconciliation).
Ability to be a liaison between the functional users and technical support
teams.
Strong experience in business process evaluation and documentation.
Strong analytical, communication, and organizational skills
Ability to communicate effectively with diverse populations orally and in
writing.
Ability to work independently.
Relevant education, experience and/or certifications

Thank you for your time and consideration,

Thanks & Regards,
*Junaid Mohammed* | Senior Technical Recruiter
iWork Solutions
Direct: 609-512-6017
Email: jun...@iworksolutions.in  • consultjun...@gmail.com

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