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NetSuite Engineer

Open 22d

You will play a critical role in ensuring stable, compliant, and scalable financial operations within NetSuite. You will partner closely with Finance teams to support daily operations while actively contributing to the implementation, stabilization, and continuous optimization of the ERP system. You will help build internal NetSuite expertise, reduce reliance on external vendors, and ensure business continuity following the SAP system decommissioning. Combining deep NetSuite expertise with hands-on ownership of financial processes and data, you will act as a single point of accountability for system stability, automation, and reporting integrity.

Responsibilities

  • Provide day-to-day operational support to Finance teams, including Accounting, Billing, Tax, Treasury, and Procurement
  • Ensure accuracy, reliability, and completeness of financial processes such as invoicing, revenue recognition, journal entries, and period-end postings
  • Configure, maintain, and optimize NetSuite financial setups in line with accounting standards, internal policies, and compliance requirements
  • Support month-end and year-end close processes and other critical financial deadlines
  • Design, implement, and maintain process automations to improve efficiency and reduce manual work
  • Support NetSuite reporting and financial data extraction for Finance and Management needs
  • Maintain system documentation and ensure compliance with Internal IT General Controls (ITGC), including access management, change management, and audit support
  • Analyze and validate accounting impacts of system changes, new processes, and integrations
  • Monitor and support system integrations (REST, CSV, SOAP, ODBC), ensuring data accuracy and timely issue resolution
  • Collaborate with and manage external vendors supporting integrated systems
  • Act as the internal NetSuite subject-matter expert and oversee vendor-delivered work
  • Support the development of a finance data layer sourced from NetSuite, ensuring data consistency, traceability, and auditability
  • Design and maintain datasets, tables, and structures for financial reporting and analysis
  • Build and optimize SQL-based queries and reports for Finance, Controlling, and Management
  • Ensure alignment between NetSuite transactional data and downstream reporting, BI, and data warehouse solutions
  • Act as a gatekeeper for system and data changes impacting financial reporting, ensuring accuracy and compliance

Requirements

  • Minimum 5 years of hands-on experience with NetSuite, preferably in complex, international environments
  • Strong understanding of core finance processes, including Record-to-Report (R2R), Order-to-Cash (O2C), and Procure-to-Pay (P2P)
  • Proven experience supporting financial operations during ERP implementations, migrations, or major system changes (NetSuite migration experience is a strong plus)
  • Experience with NetSuite financial configuration (Chart of Accounts, subsidiaries, taxes, items)
  • Knowledge of programming/scripting languages (Python, SQL, JavaScript, HTML)
  • Hands-on experience with NetSuite customizations (workflows, custom fields, custom records, roles, permissions, internal controls)
  • Experience with SuiteScript for automation and process enhancements
  • Experience supporting system integrations (REST, CSV, SOAP, ODBC) and resolving integration issues
  • Ability to analyze and validate accounting and reporting impacts of system and process changes
  • Experience building and maintaining reporting datasets or databases based on NetSuite data is a plus
  • Advanced SQL skills for complex queries, reconciliations, and financial reporting is a plus

Benefits

  • Ability to develop one's own benefits package in the MyBenefit system
  • Access to an internal training platform

See also

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