Finacle Core Banking
Review and validate end-to-end finance workflows in the Finacle Core Banking system, ensuring alignment with accounting policies, chart of accounts, and reporting needs. Create and execute finance-focused functional test cases (GL postings, reconciliations, period-end closing, and reporting). Verify debit/credit treatment and GL mapping across banking products, lead UAT sign-off for finance-critical scenarios, and support migration parallel-run discrepancy resolution with formal reporting accuracy checks.
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