NetSuite Finance Consultant with JLL Partners Job at Vibesoft Inc, New York, NY

  • Vibesoft Inc
  • New York, NY

Job Description

JD :-




Must Haves :-




5+ years of Oracle NetSuite functional experience with at least two full-cycle NetSuite Finance implementations as Functional Lead or Senior Consultant.

  • 3+ yearsDeep hands-on expertise in NetSuite GL, AP, AR, Fixed Assets, Bank Reconciliation, and OneWorld (multi-subsidiary) configuration.
  • 2+ Proven experience with SuiteTax, multi-currency, intercompany, and consolidation setup.
  • 2+ Experience with SuiteFlow for finance approval workflows and CSV import for financial data migration.
  • Strong client-facing communication and stakeholder management skills; able to present confidently to Finance leads and executive sponsors.





Basic Qualifications :-

  • Demonstrated ability to manage and coordinate an offshore delivery team; organised, self-motivated, and accountable for team output.
  • Strong analytical and problem-solving skills; able to resolve functional issues independently in a fast-paced project environment.
  • Proficient in Microsoft Office (Word, Excel, PowerPoint).
  • Work Arrangement: Onshore, customer-facing role. Must be available to work on-site or co-located with the client as required throughout the engagement.
  • Engagement Duration: 6 7 month contract, with possible extension based on project scope.
  • Degree: Undergraduate degree in Finance, Accounting, Information Systems, or equivalent.

Nice to Have :-

  • NetSuite ERP Consultant certification or SuiteFoundation certification preferred.
  • Experience with NetSuite Revenue Recognition (Advanced Revenue Management ARM) and Budgeting & Planning modules.
  • Familiarity with SuiteScript (Tier 1/basic level) and SuiteQL for custom reporting and minor configurations.
  • Exposure to NetSuite SuiteCommerce, Payroll, or Project Accounting is a plus.
  • CPA, CMA, ACCA, or equivalent professional accounting qualification is advantageous.



Day-to-Day Job Duties :-

  • Serve as the primary onshore functional lead for NetSuite Finance, engaging directly with client Finance and Accounting stakeholders to gather requirements, validate designs, and drive decisions.
  • Configure and support core NetSuite Finance modules: General Ledger (GL), Accounts Payable (AP), Accounts Receivable (AR), Fixed Assets, Bank Reconciliation, and Multi-currency/Multi-subsidiary (OneWorld).
  • Design Chart of Accounts, subsidiary structures, intercompany relationships, and consolidation settings aligned to client reporting requirements.
  • Configure SuiteTax, tax codes, tax groups, and tax reporting to meet local and multi-jurisdiction compliance requirements.
  • Set up SuiteFlow approval workflows for journal entries, vendor bills, expense reports, and payment approvals.
  • Lead client workshops, solution walkthroughs, and UAT sessions; act as the escalation point for offshore team queries on finance configuration.
  • Coordinate day-to-day offshore team activities - assign tasks, review deliverables, and track progress against project milestones to ensure customer commitments are met.
  • Support period-end close activities, revenue recognition setup (ASC 606 / IFRS 15), and financial reporting using NetSuite saved searches and SuiteAnalytics.
  • Lead data migration activities using CSV imports for chart of accounts, customer/vendor masters, and opening balances.
  • Develop test scripts, lead SIT and UAT phases, and deliver end-user training and documentation for Finance teams.



Job Tags

Contract work, Work at office, Local area

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