NetSuite Report Writer - REMOTE CONTRACT

apartmentRobert Half placeDallas calendar_month 

We are offering a short term 100% remote contract employment opportunity for a NetSuite Report Writer in Dallas, Texas. As a NetSuite Report Writer, your primary function will be to design, develop and implement custom financial reports. You'll work closely with the finance and accounting teams to enhance insight generation and make report creation more efficient.

Responsibilities:

  • Designing and implementing tailored financial data views for specific legal entities.
  • Consolidating reports across various entities for a comprehensive financial overview.
  • Managing currency conversions, specifically from Mexican Peso to US Dollars, within reports.
  • Streamlining the process of producing periodic reports and automating recurring reports where applicable.
  • Collaborating with stakeholders to gather reporting requirements and aligning them with business needs.
  • Optimizing and updating existing reports to adapt to changing business requirements.
  • Utilizing NetSuite Saved Searches, SuiteAnalytics Workbooks, and custom report creation skills to meet job requirements.
  • Applying knowledge of multi-entity reporting, financial consolidation, and currency conversion.
  • Understanding and applying financial statements, including P& L, balance sheets, and cash flow.
  • Leveraging proficiency in Excel (pivot tables, formulas) and familiarity with SuiteScript to improve reporting processes.

Top 3 Keys:

  1. NetSuite Financial Report Writer
  2. Able to create financial reports
  3. Strong independent resource
  • Proficiency in NetSuite is a must, as it is the primary software used for job functions.
  • Exceptional skills in report writing, with a focus on creating comprehensive and accurate reports.
  • Strong understanding of consolidated financials, as this role involves dealing with complex financial data.
  • Solid Excel skills.
  • Experience with ad hoc reporting is required, as the role often needs custom reports on a case-by-case basis.
  • Ability to create reports effectively and efficiently to meet organizational needs.
  • Knowledge of financial statement preparation and interpretation is necessary for this role.
  • Familiarity with financial statements consolidation, as the role involves dealing with multiple financial statements.
  • Understanding of currency conversion is required, as the role involves dealing with financial data in different currencies.
  • Experience in handling multiple entities, as this role requires dealing with various organizational entities.
  • Knowledge of legal entities is important, as this role involves understanding different legal structures and their financial implications.
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