Job Description

  • Supports the Property Accountant and Finance Manager during the finance system migration project.
  • Assists in data clean-up, migration, reconciliation, and parallel run transaction postings to ensure accurate and timely transition from IPAS to Oracle NetSuite.

DUTIES AND RESPONSIBILITIES

  • Assists in cleaning up and validating customer, vendor, and chart of accounts master data.
  • Maps IPAS system master data to the Oracle NetSuite master data structure.
  • Extracts and cleans trial balances and subsidiary ledgers from the legacy system.
  • Transforms cleaned trial balances and subsidiary ledgers into the prescribed uploading format.
  • Uploads and validates trial balances and customer subsidiary ledgers in Oracle NetSuite.
  • Input transactions for billing, collections, vendor payables, and general ledger adjusting entries during the parallel run.
  • Reconciles month-end balances between the IPAS system ...

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