Senior Workday Finance Lead – R2R

Jade Global

$110K — $130K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • Mandatory Certification: Workday R2R
  • Experience: 5+ years in Finance Systems
  • Deep knowledge of GAAP/IFRS accounting principles

Responsibilities

  • Own the Financial Data Model (FDM) and configure business processes for journals, fixed assets, and allocations.
  • Maintain the integration between Workday Core Fin and Adaptive, managing budgeting and forecasting structures.
  • Configure bank account management and manage withholding tax rules and integrations.
  • Design composite reports for external financial statements like Balance Sheet and P&L.
  • Troubleshoot errors preventing period close and resolve unposted journals.
  • Investigate and address bank statement lines that do not auto-reconcile with system transactions.
  • Support Adaptive users by resolving access issues and fixing formula errors.

Benefits

  • Professional development opportunities
  • Flexible work arrangements
  • Health and wellness programs
  • Collaborative team environment
  • 401(k) retirement plan
Full Job Description
Senior Workday Finance Lead – R2R0

Key Responsibilities (Strategy & Configuration)

  • Record to Report (R2R): Own the Financial Data Model (FDM). Configure Business Processes for Journals, Fixed Assets, and Allocations. Design the period-close checklist to shorten close cycles.

  • Adaptive Planning: Maintain the integration between Workday Core Fin and Adaptive. Manage versions, sheets, and level structures for annual budgeting and forecasting.

  • Tax & Treasury: Configure Bank Account Management, Settlement Rules, and Ad-hoc Bank Transactions. Manage withholding tax rules and sales tax adapter integrations.

  • Reporting: Design Composite Reports for external financial statements (Balance Sheet, P&L, Cash Flow).

L2 Support & Operational Activities (Daily Run)

  • Period Close Support: Troubleshoot "red" errors preventing period close (e.g., resolving unposted journals, fixing accounting date mismatches).

  • Bank Reconciliation: Investigate and fix bank statement lines that fail to auto-reconcile with system transactions.

  • Adaptive User Support: Troubleshoot access issues for budget managers and fix broken formulas in Adaptive sheets.

  • Asset Management: Correct asset depreciation errors or rollback incorrect asset disposals.

  • FDM Governance: Review and approve requests for new Cost Centers or Ledger Accounts, ensuring they map correctly to Adaptive.

Qualifications

  • Mandatory Certification: Workday R2R

  • Experience: 5+ years in Finance Systems, with deep knowledge of GAAP/IFRS accounting principles.

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