Accounting & Reporting Specialist
Posted 1 day ago
Job Viewed
Job Description
About Us
Scalemetrics is a leading provider of modular CFO services, dedicated to supporting startups and SMEs in scaling their businesses globally.
- Mission: Enhance business predictability and value through expert financial management solutions.
- Core Services:
- Bookkeeping
- Financial forecasting
- Budgeting
- Financial modeling
- Startup valuations
- Due diligence
- Approach: Collaborative, data-driven, and technology-focused, tailored to each client’s unique needs.
Position Overview
We are seeking a detail-oriented Accounting & Reporting Specialist to join our dynamic and growing team.
Role Requirements:
- Solid background in financial accounting, reporting, and compliance.
- Proven experience managing financial statements, overseeing month-end close processes, and ensuring accuracy in financial records.
Key Objectives:
- Streamline clients’ financial operations.
- Ensure compliance with regulatory standards.
- Provide insights to improve financial performance and reporting accuracy.
Responsibilities
- Prepare, analyze, and present financial statements (balance sheets, income statements, and cash flow statements) in compliance with accounting standards.
- Manage and execute month-end and year-end close processes, ensuring timely and accurate recording of all financial data.
- Handle payments and payroll.
- Conduct reconciliations for bank accounts, balance sheets, and other financial records, addressing discrepancies as needed.
- Ensure compliance with local GAAP and IFRS by staying updated on changes in accounting standards and implementing necessary adjustments.
- Develop, implement, and maintain internal controls over financial reporting, enhancing efficiency and reducing risk.
- Prepare and distribute financial reports (regular and ad-hoc) to management and clients, providing insights into performance, trends, and variances.
- Coordinate with external auditors during audits, ensuring the timely provision of requested information and resolution of discrepancies.
- Support the budgeting and forecasting process with historical data analysis and insights into financial trends.
- Engage with clients to understand financial reporting needs, address inquiries, and enhance their financial management practices.
Qualifications
Education & Experience:
- Required: B.Com/CA Inter with at least 5 years of experience in accounting and financial reporting.
- Minimum 3 years of experience in financial statement preparation and reporting.
- Preferred: Experience with financial analysis.
Technical Proficiency:
- Proficient in Excel, Google Sheets, and accounting software (e.g., QuickBooks, Xero, Odoo).
- Ability to create accurate and visually clear financial reports.
Skills:
- Strong analytical skills and keen attention to detail to ensure accuracy and compliance in financial data.
- Clear written and verbal communication skills to present financial information effectively.
- Ability to work independently and contribute effectively within a team.
Why Join Us?
- Work with a diverse portfolio of innovative clients and industries.
- Opportunity to make a significant impact on the growth and success of startups and SMEs.
- Flexible working arrangements in a collaborative team environment.
- Continuous professional development and learning opportunities.
- Competitive compensation package with performance-based incentives.
Culture
- Result-Oriented: We focus on achieving and exceeding clear goals, delivering impactful results to our clients.
- Supportive Environment: Team members support one another through challenges, celebrate wins together, and learn collectively.
- Collaboration: We foster inclusivity and transparency, knowing the best solutions come from collective efforts.
- Direct Feedback: Honest and constructive feedback drives our growth and development.
- Strong Work Ethic: We value diligence, integrity, and accountability, rewarding hard work and resilience.
Compensation Package
- Base Salary: ₹75,000 to ₹90,000 INR/month
How to Apply
Interested candidates are invited to submit their resume.
Scalemetrics is an equal-opportunity employer.
We celebrate diversity and are committed to creating an inclusive environment for all employees.
Accounting & Reporting Specialist
Posted today
Job Viewed
Job Description
About Us
Scalemetrics is a leading provider of modular CFO services, dedicated to supporting startups and SMEs in scaling their businesses globally.
- Mission: Enhance business predictability and value through expert financial management solutions.
- Core Services:
- Bookkeeping
- Financial forecasting
- Budgeting
- Financial modeling
- Startup valuations
- Due diligence
- Approach: Collaborative, data-driven, and technology-focused, tailored to each client’s unique needs.
Position Overview
We are seeking a detail-oriented Accounting & Reporting Specialist to join our dynamic and growing team.
Role Requirements:
- Solid background in financial accounting, reporting, and compliance.
- Proven experience managing financial statements, overseeing month-end close processes, and ensuring accuracy in financial records.
Key Objectives:
- Streamline clients’ financial operations.
- Ensure compliance with regulatory standards.
- Provide insights to improve financial performance and reporting accuracy.
Responsibilities
- Prepare, analyze, and present financial statements (balance sheets, income statements, and cash flow statements) in compliance with accounting standards.
- Manage and execute month-end and year-end close processes, ensuring timely and accurate recording of all financial data.
- Handle payments and payroll.
- Conduct reconciliations for bank accounts, balance sheets, and other financial records, addressing discrepancies as needed.
- Ensure compliance with local GAAP and IFRS by staying updated on changes in accounting standards and implementing necessary adjustments.
- Develop, implement, and maintain internal controls over financial reporting, enhancing efficiency and reducing risk.
- Prepare and distribute financial reports (regular and ad-hoc) to management and clients, providing insights into performance, trends, and variances.
- Coordinate with external auditors during audits, ensuring the timely provision of requested information and resolution of discrepancies.
- Support the budgeting and forecasting process with historical data analysis and insights into financial trends.
- Engage with clients to understand financial reporting needs, address inquiries, and enhance their financial management practices.
Qualifications
Education & Experience:
- Required: B.Com/CA Inter with at least 5 years of experience in accounting and financial reporting.
- Minimum 3 years of experience in financial statement preparation and reporting.
- Preferred: Experience with financial analysis.
Technical Proficiency:
- Proficient in Excel, Google Sheets, and accounting software (e.g., QuickBooks, Xero, Odoo).
- Ability to create accurate and visually clear financial reports.
Skills:
- Strong analytical skills and keen attention to detail to ensure accuracy and compliance in financial data.
- Clear written and verbal communication skills to present financial information effectively.
- Ability to work independently and contribute effectively within a team.
Why Join Us?
- Work with a diverse portfolio of innovative clients and industries.
- Opportunity to make a significant impact on the growth and success of startups and SMEs.
- Flexible working arrangements in a collaborative team environment.
- Continuous professional development and learning opportunities.
- Competitive compensation package with performance-based incentives.
Culture
- Result-Oriented: We focus on achieving and exceeding clear goals, delivering impactful results to our clients.
- Supportive Environment: Team members support one another through challenges, celebrate wins together, and learn collectively.
- Collaboration: We foster inclusivity and transparency, knowing the best solutions come from collective efforts.
- Direct Feedback: Honest and constructive feedback drives our growth and development.
- Strong Work Ethic: We value diligence, integrity, and accountability, rewarding hard work and resilience.
Compensation Package
- Base Salary: ₹75,000 to ₹90,000 INR/month
How to Apply
Interested candidates are invited to submit their resume.
Scalemetrics is an equal-opportunity employer.
We celebrate diversity and are committed to creating an inclusive environment for all employees.
FATCA/CRS Reporting Specialist
Posted 1 day ago
Job Viewed
Job Description
Company Description
Optax Limited is a small but growing advisory business that uses our bespoke software and technical expertise to simplify FATCA & CRS reporting and ensure compliance accuracy. Focusing on private funds, Optax delivers solutions that streamline processes and introduce automation to create significant operational efficiencies for our clients.
Role Description
This is a remote role for a FATCA/CRS reporting specialist. The specialist will be responsible for day-to-day tasks related to FATCA & CRS compliance including tax form review, investor data management, reporting, and process improvement. The candidate must also be willing to help with technology testing and development, business development, and other ad hoc tasks. Open to full-time, part-time, and contractor applicants.
Required Qualifications
- Minimum 5 years of FATCA and CRS reporting experience with a Big 4 firm or multinational asset manager
- Strong understanding of OECD CRS and U.S. FATCA regulations (especially due diligence, reporting schemas, and entity classification rules)
- Experience preparing XML reports for multiple jurisdictions, especially in Europe
- Familiarity with schema validation tools and handling errors
- Experience reviewing US withholding tax forms (W-8/W-9s) and CRS forms
- Advanced experience with Excel, including data management and data cleansing
Professional and Personal Qualifications
- Attention to Detail – Precision in reviewing data, forms, and XML validations is critical
- Analytical & Legal Reasoning – Ability and willingness to learn new rules and regimes, interpret regulatory text and apply it pragmatically
- Communication Skills – Strong vocal and written English; able to read, write, and explain tax and reporting logic clearly
- Reliability & Confidentiality – Trustworthy with sensitive investor data and proprietary technology
- Self-Discipline & Proactivity – Willing and able to work independently and meet deadlines without close supervision
- Collaborative Mindset – Comfortable collaborating remotely with our technology team on identifying integration and automation tasks and testing software
Preferred Qualifications
- Working knowledge of US international tax rules (Chapters 3 and 4)
- Comfortable using and testing software tools (ideally SaaS platforms)
- Familiarity with data-management tools or systems (SQL, Power Query, or similar) is a plus
- References required
FATCA/CRS Reporting Specialist
Posted today
Job Viewed
Job Description
Company Description
Optax Limited is a small but growing advisory business that uses our bespoke software and technical expertise to simplify FATCA & CRS reporting and ensure compliance accuracy. Focusing on private funds, Optax delivers solutions that streamline processes and introduce automation to create significant operational efficiencies for our clients.
Role Description
This is a remote role for a FATCA/CRS reporting specialist. The specialist will be responsible for day-to-day tasks related to FATCA & CRS compliance including tax form review, investor data management, reporting, and process improvement. The candidate must also be willing to help with technology testing and development, business development, and other ad hoc tasks. Open to full-time, part-time, and contractor applicants.
Required Qualifications
- Minimum 5 years of FATCA and CRS reporting experience with a Big 4 firm or multinational asset manager
- Strong understanding of OECD CRS and U.S. FATCA regulations (especially due diligence, reporting schemas, and entity classification rules)
- Experience preparing XML reports for multiple jurisdictions, especially in Europe
- Familiarity with schema validation tools and handling errors
- Experience reviewing US withholding tax forms (W-8/W-9s) and CRS forms
- Advanced experience with Excel, including data management and data cleansing
Professional and Personal Qualifications
- Attention to Detail – Precision in reviewing data, forms, and XML validations is critical
- Analytical & Legal Reasoning – Ability and willingness to learn new rules and regimes, interpret regulatory text and apply it pragmatically
- Communication Skills – Strong vocal and written English; able to read, write, and explain tax and reporting logic clearly
- Reliability & Confidentiality – Trustworthy with sensitive investor data and proprietary technology
- Self-Discipline & Proactivity – Willing and able to work independently and meet deadlines without close supervision
- Collaborative Mindset – Comfortable collaborating remotely with our technology team on identifying integration and automation tasks and testing software
Preferred Qualifications
- Working knowledge of US international tax rules (Chapters 3 and 4)
- Comfortable using and testing software tools (ideally SaaS platforms)
- Familiarity with data-management tools or systems (SQL, Power Query, or similar) is a plus
- References required
Financial Reporting Analyst

Posted today
Job Viewed
Job Description
Explore your next opportunity at a Fortune Global 500 organization. Envision innovative possibilities, experience our rewarding culture, and work with talented teams that help you become better every day. We know what it takes to lead UPS into tomorrow-people with a unique combination of skill + passion. If you have the qualities and drive to lead yourself or teams, there are roles ready to cultivate your skills and take you to the next level.
**Job Description:**
Job Description
In this role, your main responsibility would be to play the role of a quantitative Financial Analyst. Your other responsibilities would include supporting general accounting activities in line with the defined strategies, policies, and procedures our organization.
This role also includes preparing and presenting financial data for review to management for making the right decisions. Creating financial models and pro-formas is also part of the job description of this position, including the development of supporting tools.
This professional will also be in charge of carrying out operational reporting, developing dashboards, key performance metrics, and trend analysis.
Requirements for the role
Supporting Financial Planning and Analysis (FP&A) activities including budgeting, forecasting, variance analytics and reporting.
Conduct variance analysis to compare (actual vs .budget/forecast) and identifying trends and key drivers.
Track and report on key performance indicators (KPIs) such as revenue growth, gross margin, operating expenses, and working capital.
Support month-end close activities, including accrual calculations, journal entries, and reconciliations.
Collaborate with cross-functional teams (finance, sales, operations) to provide financial insights for decision making.
Flexible working in shifts as required.
You have strong hands-on skills in MS Excel including working with pivot tables, formulas.
Proficient in the use of PowerPoint, Word and other Microsoft Office Applications to create documents and reports, etc.
Possess some knowledge in BI (power BI), Dashboarding, preparing reports
You have a Bachelor's degree or MBA in Accounting, Finance or Commerce with prior experience in financial Analysis and reporting
You are at ease communicating with senior stake holders
You have strong written and verbal communication skills
Energetic and self-motivated, and the ability to work independently yet achieve set goals and targets within deadlines.
**Employee Type:**
Permanent
UPS is committed to providing a workplace free of discrimination, harassment, and retaliation.
Financial Reporting Analyst

Posted today
Job Viewed
Job Description
Découvrez votre prochaine opportunité au sein d'une organisation qui compte parmi les 500 plus importantes entreprises mondiales. Envisagez des opportunités innovantes, découvrez notre culture enrichissante et travaillez avec des équipes talentueuses qui vous poussent à vous développer chaque jour. Nous savons ce qu'il faut faire pour diriger UPS vers l'avenir : des personnes passionnées dotées d'une combinaison unique de compétences. Si vous avez les qualités, de la motivation, de l'autonomie ou le leadership pour diriger des équipes, il existe des postes adaptés à vos aspirations et à vos compétences d'aujourd'hui et de demain.
**Fiche de poste :**
Job Description
In this role, your main responsibility would be to play the role of a quantitative Financial Analyst. Your other responsibilities would include supporting general accounting activities in line with the defined strategies, policies, and procedures our organization.
This role also includes preparing and presenting financial data for review to management for making the right decisions. Creating financial models and pro-formas is also part of the job description of this position, including the development of supporting tools.
This professional will also be in charge of carrying out operational reporting, developing dashboards, key performance metrics, and trend analysis.
Requirements for the role
Supporting Financial Planning and Analysis (FP&A) activities including budgeting, forecasting, variance analytics and reporting.
Conduct variance analysis to compare (actual vs .budget/forecast) and identifying trends and key drivers.
Track and report on key performance indicators (KPIs) such as revenue growth, gross margin, operating expenses, and working capital.
Support month-end close activities, including accrual calculations, journal entries, and reconciliations.
Collaborate with cross-functional teams (finance, sales, operations) to provide financial insights for decision making.
Flexible working in shifts as required.
You have strong hands-on skills in MS Excel including working with pivot tables, formulas.
Proficient in the use of PowerPoint, Word and other Microsoft Office Applications to create documents and reports, etc.
Possess some knowledge in BI (power BI), Dashboarding, preparing reports
You have a Bachelor's degree or MBA in Accounting, Finance or Commerce with prior experience in financial Analysis and reporting
You are at ease communicating with senior stake holders
You have strong written and verbal communication skills
Energetic and self-motivated, and the ability to work independently yet achieve set goals and targets within deadlines.
**Type de contrat:**
en CDI
_Chez UPS, égalité des chances, traitement équitable et environnement de travail inclusif sont des valeurs clefs auxquelles nous sommes attachés._
Intercompany & Reporting
Posted 15 days ago
Job Viewed
Job Description
Chartered Accountant/ ACCA/ CPA Must
Review and validate the single TB to upload in HFM.
Preparation and submit the post closure report to the team (HFM Benchmark report, ICP report with comments, Dividend validation, Turkey receivable movement, Veolia Investment movement, project wise Deferred revenue, External party revenue).
Analyze year end audit adjustments and resolve Opening RE variance.
ICP reconciliation
Closely look after the intercompany settlement and share the report on monthly basis with the respective region
GL control validate the GL opening, change request the form and approve the same, also analyze the current COA and advise the changes wherever required.
Review the HFM mapping and streamline the same.
ARCS implementation, report validation and monthly ARCS reconciliation.
Coordinate with PC team to get the SOA.
Review the automation app on a frequent basis and update the same.
Dividend entry validation and share the dividend balance confirmation to the company.
Analyze the Group structure and notify for the new entities to respective regions and gather the information for the same to create the masters in HFM.
Review of SOP working, validating TRCS TB and sharing with TAX team,
Review of DIFC and FNHC equity FS for Zakat provision.
Share the final TB load for consolidation.
Monthly NMES Revenue and cost reconciliation.
Closely looked after Investment vs Equity reconciliation and resolve the same based on group structure.
Share the reconciliation for document sign for any variance within the organisation.
Automate the reports wherever possible.
Coordinate with HFM consultants for any improvement in HFM.
Validate the newly migrated entity TB and streamline the data if required.
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Group Reporting Analyst
Posted 1 day ago
Job Viewed
Job Description
Position Summary:
The Group Reporting Analyst will be part of Tag’s Group Reporting Team, responsible for delivery of robust, accurate and timely financial reporting, budget, forecast and cashflow reporting. The team is integral to providing insight and analysis on historical performance to help drive profit, customer growth and improving operational performance. Group Reporting is key to driving wider Tag initiatives including integration, efficiencies and alignment to Dentsu group ownership.
This is an exciting role that offers opportunity for future development beyond group financial reporting to include further insight, understanding and analysis to both wider Tag finance but also and Dentsu group, utilising evolving finance automation and tools.
The successful candidate will have responsibility over presenting and analysing financial data for both internal and external stakeholders to help guide wider business decisions. The candidate will use key reporting tools (Workday, Adaptive Insights and SAP tools BPC and SAC) to aid communication of business performance.
The Group Reporting Analyst will report into the Senior Finance Analyst, under the Head of Reporting and Cash.
Responsibilities
Accountable to actively contribute to the global group monthly business performance reporting process ensuring insightful reporting for regions across the P&L, Balance Sheet and Cashflow (long-term and 13 week).
Preparation and analysis of regional financial reports for monthly actuals, budget and forecast packs for review and presentation to management including regional and group CFO. Responsible for ensuring completeness and accuracy of provided data.
Responsible for liaising with regional finance up to CFO level to help identify and comment on trends and variances in data.
Navigation of ERP system (Workday) and planning tool (Adaptive Insights) to leverage actuals/forecast data as required for group reporting, ad hoc regional finance requests and auditor queries through technical expertise of system reports and use of excel.
Responsible for data documentation in compliance with internal and external (JSOX) audit requirements to demonstrate robust process and reporting control frameworks.
Support and drive of ad hoc projects as requested by senior management, including automation of reporting, efficiencies in data extraction and analysis and further deep dives in understanding Tag and Dentsu group business performance.
Job Qualifications
Experienced finance professional, with strong academics, ideally degree qualified from a reputable university with IFRS knowledge and accounting qualifications (CIMA/ ACCA/ ACA or similar). Preference given to candidates with an accounting qualification.
Experience in FP&A, management accounting or reporting for a large multi-currency company is ideal.
Proven problem solver with good planning and organizational skills; exceptional attention to detail and a collaborative team player.
Questioning and challenging mind with creative and innovative approach to analysis and ability to summarize and bring clarity to reported data.
Highly motived, effective under pressure with experience working to tight deadlines in a fast paced environment.
Effective communication and presentation skills to communicate clearly and effectively with internal and external stakeholders up to CFO level.
Experienced in dealing with ERP systems (Workday and Adaptive Insights) is desirable.
Competent with Microsoft Office programs (Excel and PowerPoint). Understanding and knowledge of Power BI tools would be an added advantage.
Appetite to engage in projects and additional responsibilities as an opportunity for career progression.
Group Reporting Analyst
Posted today
Job Viewed
Job Description
Position Summary:
The Group Reporting Analyst will be part of Tag’s Group Reporting Team, responsible for delivery of robust, accurate and timely financial reporting, budget, forecast and cashflow reporting. The team is integral to providing insight and analysis on historical performance to help drive profit, customer growth and improving operational performance. Group Reporting is key to driving wider Tag initiatives including integration, efficiencies and alignment to Dentsu group ownership.
This is an exciting role that offers opportunity for future development beyond group financial reporting to include further insight, understanding and analysis to both wider Tag finance but also and Dentsu group, utilising evolving finance automation and tools.
The successful candidate will have responsibility over presenting and analysing financial data for both internal and external stakeholders to help guide wider business decisions. The candidate will use key reporting tools (Workday, Adaptive Insights and SAP tools BPC and SAC) to aid communication of business performance.
The Group Reporting Analyst will report into the Senior Finance Analyst, under the Head of Reporting and Cash.
Responsibilities
Accountable to actively contribute to the global group monthly business performance reporting process ensuring insightful reporting for regions across the P&L, Balance Sheet and Cashflow (long-term and 13 week).
Preparation and analysis of regional financial reports for monthly actuals, budget and forecast packs for review and presentation to management including regional and group CFO. Responsible for ensuring completeness and accuracy of provided data.
Responsible for liaising with regional finance up to CFO level to help identify and comment on trends and variances in data.
Navigation of ERP system (Workday) and planning tool (Adaptive Insights) to leverage actuals/forecast data as required for group reporting, ad hoc regional finance requests and auditor queries through technical expertise of system reports and use of excel.
Responsible for data documentation in compliance with internal and external (JSOX) audit requirements to demonstrate robust process and reporting control frameworks.
Support and drive of ad hoc projects as requested by senior management, including automation of reporting, efficiencies in data extraction and analysis and further deep dives in understanding Tag and Dentsu group business performance.
Job Qualifications
Experienced finance professional, with strong academics, ideally degree qualified from a reputable university with IFRS knowledge and accounting qualifications (CIMA/ ACCA/ ACA or similar). Preference given to candidates with an accounting qualification.
Experience in FP&A, management accounting or reporting for a large multi-currency company is ideal.
Proven problem solver with good planning and organizational skills; exceptional attention to detail and a collaborative team player.
Questioning and challenging mind with creative and innovative approach to analysis and ability to summarize and bring clarity to reported data.
Highly motived, effective under pressure with experience working to tight deadlines in a fast paced environment.
Effective communication and presentation skills to communicate clearly and effectively with internal and external stakeholders up to CFO level.
Experienced in dealing with ERP systems (Workday and Adaptive Insights) is desirable.
Competent with Microsoft Office programs (Excel and PowerPoint). Understanding and knowledge of Power BI tools would be an added advantage.
Appetite to engage in projects and additional responsibilities as an opportunity for career progression.
Senior Software Engineering Lead - Oracle BI and HCM Reporting Specialist
Posted today
Job Viewed
Job Description
We are seeking a highly skilled Oracle BI & HCM Reporting Specialist to design, develop, and optimize reporting solutions across Oracle HCM modules. This role is hands-on and requires deep expertise in OTBI, BI Publisher, HCM Extracts, and HDL, with solid SQL skills and a proven ability to deliver accurate, scalable reporting solutions in a fast-paced environment.
**Primary Responsibilities:**
+ Report Development:
+ Design and maintain BI Publisher and OTBI reports for Payroll, Core HR, Compensation, Time & Labor, Talent Management, and Absence Management
+ Implement automated email delivery using bursting features
+ Develop templates using XSL, Word, Excel, and eText formats
+ Customize payslip and check printing formats using BI Publisher
+ Data Integration & Extracts:
+ Create and manage HCM Extracts combining multiple user entities and configure delivery methods
+ Utilize HDL for data loading and reporting
+ Parameterize reports using Payroll Flows for dynamic execution
+ Performance & Optimization:
+ Optimize complex SQL queries for performance and scalability
+ Ensure compliance with security and data privacy standards
+ Version Control & Migration:
+ Oversee migration of report objects between environments using GitHub, including version control and approval workflows
+ Collaboration & Documentation:
+ Work closely with functional leads and end users to gather requirements and translate them into technical specifications
+ Document report designs, data mappings, and testing results
+ Comply with the terms and conditions of the employment contract, company policies and procedures, and any and all directives (such as, but not limited to, transfer and/or re-assignment to different work locations, change in teams and/or work shifts, policies in regard to flexibility of work benefits and/or work environment, alternative work arrangements, and other decisions that may arise due to the changing business environment). The Company may adopt, vary or rescind these policies and directives in its absolute discretion and without any limitation (implied or otherwise) on its ability to do so
**Required Qualifications:**
+ Bachelor's degree in Computer Science, Information Systems, or related field
+ 8+ years of hands-on experience in Oracle OTBI, BI Publisher, and HCM ExtractsExperience with GitHub for version control and migration workflowsSolid understanding of Oracle HCM data structures and modules (Core HR, Payroll, Compensation, Absence, Talent, Time & Labor)
+ Advanced SQL skills for high-volume data queries
+ Familiarity with data governance principles and HR data privacy/security standards
+ Solid analytical and problem-solving skills with attention to detail
+ Effective communication and ability to work with cross-functional teams
+ Proactive use of AI tools such as Microsoft Copilot or M365 Copilot for productivity
**Preferred Qualifications:**
+ Oracle Cloud HCM certifications
+ Experience with Payroll Flows and seeded payroll processes
+ Knowledge of secure file delivery and encryption practices for HCM Extracts
_At UnitedHealth Group, our mission is to help people live healthier lives and make the health system work better for everyone. We believe everyone - of every race, gender, sexuality, age, location and income - deserves the opportunity to live their healthiest life. Today, however, there are still far too many barriers to good health which are disproportionately experienced by people of color, historically marginalized groups and those with lower incomes. We are committed to mitigating our impact on the environment and enabling and delivering equitable care that addresses health disparities and improves health outcomes - an enterprise priority reflected in our mission._