Finance Transformation Analyst: NetSuite & ERP Optimizer

Jobtailor

Reading

On-site

GBP 52,000 - 75,000

Full time

14 days+

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Job summary

Jobtailor in Reading, United Kingdom, is seeking a finance professional qualified in ACA, ACCA or CIMA to strengthen audit readiness and manage month-end activities. The role involves balancing sheet reconciliations, finance transformation projects, and robust data handling using NetSuite and Excel.

You will build finance documentation, support audits, and collaborate across teams to deliver high-quality financial control and reporting. A hands-on, ownership mindset is essential.

Qualifications

  • Qualified finance professional with ACA, ACCA or CIMA.
  • Strong grounding in general accounting principles and double-entry bookkeeping.
  • Experience supporting month-end processes, journals and reconciliations.
  • Analytical thinker with ability to resolve discrepancies from complex data.
  • Advanced Excel skills for large datasets and reporting.
  • Experience supporting audit activities and documenting work.

Responsibilities

  • Strengthen audit readiness by reviewing historical accounting records and improving documentation.
  • Own balance sheet reconciliations and resolve discrepancies with evidence.
  • Support finance transformation including NetSuite enhancements and data validation.
  • Build structured Excel workbooks, trackers and finance documentation.
  • Assist with process improvements and cross-team collaboration.
  • Provide flexible support across month-end activities, payroll, VAT and reconciliations.
  • Contribute to treasury, ERP improvements and other transformation programmes.

Skills

NetSuite experience
Excel
General accounting
Month-end close
Audit support
Data analysis
ERP data migration
Attention to detail
Ownership
Time management

Education

ACA
ACCA
CIMA

Tools

NetSuite
Solution 7
Excel

Job description

Jobtailor in Reading, United Kingdom, is seeking a finance professional qualified in ACA, ACCA or CIMA to strengthen audit readiness and manage month-end activities. The role involves balancing sheet reconciliations, finance transformation projects, and robust data handling using NetSuite and Excel.

You will build finance documentation, support audits, and collaborate across teams to deliver high-quality financial control and reporting. A hands-on, ownership mindset is essential.

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