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Functional UAT Lead Finance & Controllership; GL, Budgeting, Assets, Treasury

Job in Mineola, Nassau County, New York, 11501, USA
Listing for: Ampcus Incorporated
Full Time position
Listed on 2026-07-24
Job specializations:
  • Finance & Banking
    Financial Compliance, Financial Reporting, Financial Analyst, Financial Controller
  • Accounting
    Financial Compliance, Financial Reporting, Financial Analyst, Financial Controller
Job Description & How to Apply Below
Position: Functional UAT Lead  Finance & Controllership (GL, Budgeting, Assets, Treasury)
  • 1. Functional UAT Lead Finance & Controllership (GL, Budgeting, Assets, Treasury)
    • Work Model
    • Onsite-heavy during UAT cycles
    • Required Qualifications
    • 8 12+ years in QA/UAT with strong finance domain expertise
    • Hands-on experience with:
      • GL, Budgeting, and Financial Reporting
    • ERP experience:
      • CGI Advantage (preferred) , Oracle, People Soft, or SAP
    • Experience with:
      • Financial reconciliation and trial balance validation
      • Data conversion testing and validation
    • Strong understanding of:
      • Fund accounting and financial controls
    • Overview
      Ampcus is seeking a Functional UAT Lead Finance & Controllership to drive UAT execution across core financial modules in an ERP implementation (CGI Advantage or similar). This role is responsible for validating financial integrity, accounting controls, and reporting accuracy across all finance functions.
      Key Responsibilities
    • Lead UAT execution for:
      • General Ledger (GL) & Financial Reporting
      • Budgeting & Commitment Control
      • Fixed Assets & Capital Accounting
      • Treasury & Cash Management
    • Validate:
      • Journal entries, posting logic, and financial statements
      • Budget controls, fund accounting, and appropriations
      • Asset lifecycle (capitalization, depreciation, disposal)
    • Develop and execute end-to-end financial test scenarios
    • Perform and support:
      • Trial balance validation
      • Sub-ledger to GL reconciliation
    • Support data conversion testing, including:
      • Validation of migrated balances (beginning balances, roll-forwards)
      • Financial reconciliation between legacy and target systems
    • Work with data teams during:
      • Mock conversions (Mock 1, Mock 2, Dress Rehearsal)
    • Validate key controls:
      • Approval workflows
      • Segregation of Duties (SoD)
    • Support defect triage and resolution for finance-related issues
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