Connect Google Cloud Storage and
Oracle Financials with AI

Redbird AI automates the flow of financial data between Oracle Financials and Google Cloud Storage — no more manual exports, CSV wrangling, or brittle ETL scripts. Teams can sync transaction data, automate period-close reporting, and build analytics pipelines that stay in sync with your ERP.

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.

Export daily transaction batches from Oracle Financials to Cloud Storage for analytics

Automatically extract AP, AR, and GL transactions from Oracle Financials at scheduled intervals and stage them as structured files in Google Cloud Storage. Redbird formats data consistently for downstream BigQuery ingestion or data warehouse workflows. No more manual extracts or waiting on IT for monthly exports.

Load trial balance snapshots to Cloud Storage on every financial close

Capture trial balance data from Oracle Financials at period-end and write it to Cloud Storage buckets organized by period and entity. Redbird timestamps each snapshot and maintains a complete historical ledger for compliance and trend analysis. Finance teams get an auditable archive without manual extraction.

Ingest bank statement files from Cloud Storage into Oracle Financials for reconciliation

Monitor designated Cloud Storage buckets for new bank statement files and automatically import them into Oracle Financials cash management. Redbird parses transaction formats, maps to the right accounts, and triggers reconciliation workflows. Removes the manual upload and formatting step from treasury operations.

Sync invoice attachments from Oracle AP to Cloud Storage for centralized document management

When invoices are processed in Oracle Financials, automatically copy supporting documents to Cloud Storage with standardized naming and folder structure. Redbird maintains the link between financial records and source documents for audit trails. Eliminates manual document filing and ensures compliance teams can find everything.

Push enriched payment files from Cloud Storage into Oracle Financials AP

Take payment instructions processed and validated in GCP data pipelines and load them directly into Oracle Financials for execution. Redbird handles vendor matching, GL coding validation, and batch creation. Finance teams can leverage cloud-based payment workflows without rekeying data.

Alert finance teams when monthly GL export to Cloud Storage completes and validate data

Run scheduled extracts of Oracle Financials general ledger data to Cloud Storage, then validate record counts, balance totals, and schema consistency. Redbird notifies the finance team once files are ready and flags any anomalies before downstream reporting runs. Catches data issues before they reach executive dashboards.

Live in four steps

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

01

Connect your accounts

Authorize Google Cloud 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 models and Google Cloud Storage bucket structures, so you can automate financial data workflows without mapping every field manually.

AI that knows both Oracle ERP schemas and cloud storage patterns

Redbird reads Oracle Financials table structures — GL code combinations, subledger entities, AP/AR transaction headers and lines — and maps them intelligently to Cloud Storage object paths and file formats. It handles data type conversions, hierarchical account structures, and multi-currency considerations automatically. When you need to export a trial balance or import journal entries, Redbird knows which Oracle tables to query and how to structure files for your GCP pipeline. No brittle field mapping or custom scripts to maintain.

GL account hierarchies
Subledger transaction structures
Multi-entity consolidation data
Period-aware financial snapshots
10×

faster than building custom Oracle-to-GCS ETL jobs

No APEX scripts, Cloud Functions, or Data Fusion pipelines to maintain for routine financial exports

Auto-generated reports

Redbird can pull from Google Cloud 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 Google Cloud 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 Google Cloud Storage into Oracle Financials, or from Oracle Financials back into Google Cloud 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 event in Google Cloud Storage or Oracle Financials — from new files landing to financial periods closing.

Google Cloud Storage
Triggers & Actions
Trigger

New file added to bucket

Trigger when a new object is uploaded to a specified Cloud Storage bucket or path prefix.

Trigger

File matches pattern

Trigger when a file matching specific naming conventions or formats appears in Cloud Storage.

Trigger

Scheduled bucket scan

Check Cloud Storage buckets on a schedule and trigger when new or modified files are detected.

Action

Write file to bucket

Upload data as a structured file to a specified Cloud Storage bucket with custom naming and path.

Action

Append to existing file

Add records to an existing file in Cloud Storage, maintaining format and schema consistency.

Action

Archive file to cold storage

Move or copy files to Cloud Storage Archive or Coldline classes for long-term retention.

Oracle Financials
Triggers & Actions
Trigger

Period close completed

Trigger when a financial period is closed in Oracle Financials for automated reporting workflows.

Trigger

Invoice approved

Trigger when an AP invoice completes the approval workflow and is ready for payment processing.

Trigger

Journal entry posted

Trigger when a manual or automated journal entry is posted to the general ledger.

Action

Create journal entry

Post journal entries to Oracle Financials with line details, GL coding, and required attributes.

Action

Import AP invoices

Load supplier invoices into Oracle Financials AP with header and line data, ready for approval.

Action

Update GL balances

Post adjustments or corrections to general ledger account balances in Oracle Financials.

Google Cloud Storage
+
Oracle Financials

Ready to connect your stack?

Stop exporting CSVs and writing custom scripts to move financial data. Redbird AI connects Google Cloud Storage and Oracle Financials so your finance and data teams can automate reporting, reconciliation, and analytics pipelines.

Get started → Book a demo