Quick Overview
Job Description
The Oracle NetSuite Finance Functional Lead is the onshore, customer-facing lead responsible for configuring and delivering NetSuite Financial Management solutions across core finance modules. 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. 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.
5+ years of Oracle NetSuite functional experience with at least two full-cycle NetSuite Finance implementations as Functional Lead or Senior Consultant.
~3+ years Deep hands-on expertise in NetSuite GL, AP, AR, Fixed Assets, Bank Reconciliation, and OneWorld (multi-subsidiary) configuration.
~2+ Experience with SuiteFlow for finance approval workflows and CSV import for financial data migration.
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. able to present confidently to Finance leads and executive sponsors.
Demonstrated ability to manage and coordinate an offshore delivery team; able to resolve functional issues independently in a fast-paced project environment. Proficient in Microsoft Office (Word, Excel, PowerPoint). Onshore, customer-facing role. Must be available to work on-site or co-located with the client as required throughout the engagement. Undergraduate degree in Finance, Accounting, Information Systems, or equivalent. NTT DATA provides a reasonable range of compensation for U.This position may also be eligible for incentive compensation based on individual and/or company performance.
This position is eligible for company benefits including medical, dental, and vision insurance with an employer contribution, flexible spending or health savings account, life and AD&D insurance, short and long term disability coverage, paid time off, employee assistance, participation in a 401k program with company match, and additional voluntary or legally-required benefits.
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