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An established industry player is seeking a detail-oriented accounting professional with expertise in NetSuite. This role involves managing bank reconciliations, ensuring financial accuracy, and supporting vendor management. Ideal candidates will have at least 2 years of experience in accounting or bookkeeping, with a strong focus on data uploads and GL account management. The position allows for remote work, making it perfect for those looking to balance their professional and personal lives. Join a dynamic team where your contributions will play a vital role in maintaining financial integrity.
Key Job Responsibilities:
Import bank statements into NetSuite on a regular basis.
Perform bank reconciliations for less complex transactions to ensure financial accuracy.
Review corporate credit card transactions to ensure the correct GL accounts are used before syncing with NetSuite for posting.
Conduct accounting reviews for staff claims to verify accuracy and compliance.
Prepare bank import upload file templates to streamline bank statement uploads.
Compile vendor bank account details for setting up new vendors in NetSuite.
Enter vendor bills in NetSuite accurately and timely.
Ad hoc task as per request.
Job Requirements:
Minimum 2+ years of experience in accounting or bookkeeping with NetSuite expertise with experience in bank reconciliations and GL account management
Knowledge in handling data uploads and imports in NetSuite
Able to commit up to 20 hours per week remotely