Connect Azure Blob Storage and
Oracle Financials with AI

Automate the flow of financial data between cloud storage and your ERP. Stop manually downloading files from Blob Storage, reformatting data for Oracle Financials imports, and reconciling mismatched transactions across systems.

No code required
Live in minutes
SOC 2 Type II

What you can automate today

Redbird gives your team ready-to-run workflows — just connect your accounts and go.

Auto-import bank statement files from Blob Storage into Oracle AP

Watch for new bank statement CSV or XML files uploaded to Azure Blob Storage, parse transaction details, and automatically create matching payable records in Oracle Financials. Reconcile transactions against open invoices and flag exceptions for review.

Export daily GL journal entries to Azure archive storage

Automatically extract posted journal entries from Oracle Financials at close of business each day and write structured files to Azure Blob Storage. Maintain an immutable audit trail with proper folder hierarchy by period, ledger, and entity.

Load third-party expense files into Oracle payables with validation

Monitor Blob Storage for expense report extracts from travel systems or procurement platforms. Validate vendor IDs, GL coding, and approval status before creating invoice batches in Oracle Financials, with error notifications for data quality issues.

Stage financial close files for data lake ingestion and analytics

Extract trial balance, aged receivables, and fixed asset reports from Oracle Financials after period close. Transform into Parquet or Delta format and land in Azure Blob Storage data lake zones for downstream BI and consolidation workflows.

Sync intercompany transaction files between Oracle instances via Blob Storage

Export intercompany journal entries from one Oracle Financials instance to Azure Blob Storage staging area, then automatically import matching entries into partner entity ledgers. Track reconciliation status and alert on imbalances.

Alert finance teams when large supplier invoice files arrive for processing

Monitor Azure Blob Storage for high-value invoice batch files uploaded by EDI partners or AP automation tools. Validate file structure and notify controllers before importing into Oracle Financials, with summary statistics and exception counts.

Live in four steps

No engineers, no pipelines to maintain. Redbird handles the connectivity — you focus on the outcome.

01

Connect your accounts

Authorize Azure Blob Storage and Oracle Financials with OAuth or API credentials. Redbird never stores your data — it just passes through.

02

Describe what you want

Tell Redbird what to do in plain language — no SQL, no code, no configuration files required.

03

Review and activate

Redbird shows you exactly what it will do before running anything. Approve the workflow, set a schedule, and switch it on.

04

Let it run — and iterate

Workflows run on your schedule or on triggers. Every run is logged. Adjust with natural language at any time.

Built for data-driven teams

Redbird AI understands Oracle Financials data structures and Azure Blob Storage file formats, so you can automate financial data workflows without building custom integration scripts.

AI that speaks both financial systems and cloud storage

Redbird automatically maps between Oracle Financials entities like journal entries, invoice batches, and GL segments and the CSV, XML, and JSON file formats stored in Azure Blob Storage. It understands your chart of accounts structure, recognizes multi-currency transactions, validates accounting period logic, and handles hierarchical folder patterns in Blob containers. No need to write parsing logic or maintain field mapping spreadsheets.

GL account validation
Multi-entity journal routing
Currency conversion tracking
Blob container pattern matching
10×

faster than building custom file transfer scripts for Oracle Financials

No Python scripts, Azure Functions, or manual FBDI template management required

Auto-generated reports

Redbird can pull from Azure Blob Storage and Oracle Financials simultaneously, merge the results, and format a polished report — sent on a schedule or on demand.

Trigger-based alerts

Set conditions in natural language. Get notified in Slack or email the moment a threshold is crossed in either Azure Blob Storage or Oracle Financials.

Enterprise-grade security

SOC 2 Type II certified. Data flows encrypted in transit and at rest. Fine-grained permission controls with full audit logs.

Bidirectional sync

Push data from Azure Blob Storage into Oracle Financials, or from Oracle Financials back into Azure Blob Storage. Resolve conflicts with configurable merge rules.

Full audit trail

Every workflow run is logged — what ran, what changed, and why. Replay or revert any individual step at any time.

Triggers & actions for every team

Start automations from any file event in Azure Blob Storage or financial transaction in Oracle Financials.

Azure Blob Storage
Triggers & Actions
Trigger

New file added to container

Trigger when a new blob is uploaded to a specific container or folder path.

Trigger

File modified or replaced

Detect when an existing blob is updated or overwritten with new content.

Trigger

File matching pattern uploaded

Watch for files matching specific naming conventions like date stamps or department codes.

Action

Upload file to container

Write new blobs to Azure Storage with custom metadata and folder structure.

Action

Read and parse file contents

Extract data from CSV, JSON, XML, or Excel files stored in Blob Storage.

Action

Archive or move file between containers

Relocate processed files to archive containers or delete after successful import.

Oracle Financials
Triggers & Actions
Trigger

Journal batch posted

Trigger when a GL journal batch completes posting in Oracle Financials.

Trigger

Invoice batch ready for approval

Detect when AP invoice batches enter approval workflow or exceed thresholds.

Trigger

Period close completed

Fire when an accounting period is closed for a specific ledger or entity.

Action

Create journal import batch

Generate journal entry batches in Oracle Financials from external data sources.

Action

Import supplier invoices

Load AP invoices with line-level detail, tax, and distribution coding.

Action

Export GL balances or trial balance

Extract account balances, hierarchies, and period activity for reporting.

Azure Blob Storage
+
Oracle Financials

Ready to connect your stack?

Stop building custom file transfer scripts between Azure Blob Storage and Oracle Financials. Let Redbird AI automate your financial data pipelines in minutes, not months.

Get started → Book a demo