Staff Infrastructure and Enterprise Engineer
SunrunAbout the role
Ever since we started in 2007, Sunrun has been at the forefront of connecting people to the cleanest energy on Earth. It’s why we’ve become the #1 home solar and battery company in America. Today, we’re on a mission to change the way the world interacts with energy, and we’re building a company and brand that puts power at the center of life. And we’re doing it by designing a dynamic culture where employee development, well-being, and safety come first. We’re unlike any other solar company. Our vertically integrated model gives us total control over every part of the energy lifecycle – from sale through installation and beyond – so you can find endless opportunities for growth. Come join a career you can grow in and a culture you can run with.
This position is primarily remote, with occasional visits to a local office or our corporate headquarters for team-building, training, and collaborative project work. These on-site sessions are designed to strengthen connections, share insights, and ensure a seamless experience for our team and customers. Equipment pick-up from a local branch will be required. We will provide advance notice whenever on-site attendance is required, making these times purposeful and rewarding.
Summary
The Staff Oracle ERP & EPM Business Analyst is responsible for supporting and enhancing core financial accounting, close, consolidation, treasury, and enterprise performance management processes across Oracle ERP and EPM Cloud platforms. The role partners closely with Accounting, Controllership, Treasury, and Finance Systems teams to ensure accurate financial reporting, effective intercompany processing, strong controls, and timely period close.
This position provides deep functional expertise in Oracle General Ledger, EPM Cloud (EDMCS, FCCS, ARCS), Cash & Treasury Management (including Kyriba), Fixed Assets, AGIS, and Accounting Hub, and supports ongoing ERP/EPM cloud transformation and stabilization efforts.
Key Responsibilities
Record-to-Report (Core GL & Close)
Support and enhance Oracle General Ledger including:
Chart of Accounts, hierarchies, CVRs
Allocations, revaluations, translations, and consolidations
Primary, secondary, and reporting ledgers
Partner with Accounting during month-end and quarter-end close to ensure accuracy and timeliness
Support financial reporting, audit requests, and SOX-related controls
EPM Cloud (EDMCS, FCCS, ARCS)
Support EDMCS for chart of accounts, hierarchy governance, and publishing to ERP and downstream systems
Support FCCS for consolidation, eliminations, translation, and close processes
Support ARCS for balance sheet, intercompany, and account reconciliations
Collaborate with Finance to improve close efficiency and data governance
Treasury & Cash Management
Support Oracle Cash Management processes including bank statements, reconciliations, and cash positioning
Support integrations with Treasury Management Systems (Kyriba preferred)
Assist Treasury teams with enhancements to liquidity visibility, controls, and reporting
Intercompany, AGIS & Fixed Assets
Support AGIS for intercompany invoicing and non-invoicing transactions
Assist with intercompany eliminations, reconciliations, and settlements
Support Oracle Fixed Assets including capitalization, depreciation, transfers, and retirements
Accounting Hub & Integrations
Support Accounting Hub / FAH integrations for inbound accounting data
Assist with SLA rule configuration, validation, and reconciliation
Collaborate with technical teams to troubleshoot integration and accounting issues
Delivery, Testing & Support
Participate in functional design, testing (SIT/UAT), and release validation
Provide production support and root-cause analysis for finance systems issues
Maintain functional documentation, procedures, and training materials
Required Qualifications
Bachelor’s degree in Finance, Accounting, or Computer Science, or equivalent experience
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