Staff Accountant With NetSuite Experience
We are looking for a highly skilled and detail-oriented staff accountant with NetSuite experience. This position is based in Los Angeles, California, and combines hybrid work flexibility with opportunities for collaboration in the office. The ideal candidate will contribute to the accuracy and efficiency of financial operations while leveraging their expertise in NetSuite to enhance reporting and data integrity.
Responsibilities
- Manage and reconcile general ledger accounts to ensure accuracy and compliance with financial standards.
- Handle accounts payable and accounts receivable processes, including invoices, vendor payments, and receivable balances.
- Assist in month-end and year-end close activities by preparing journal entries and ensuring timely completion.
- Generate financial reports such as balance sheets and income statements using NetSuite.
- Utilize NetSuite to streamline financial operations and improve data accuracy.
- Support audit processes by preparing necessary documentation and collaborating with auditors.
- Work closely with team members to improve workflows and implement strategic financial initiatives.
- Perform bank reconciliations to maintain accurate cash flow records.
- Conduct financial analyses to support decision-making and organizational goals.
- Execute additional accounting and administrative tasks as required.
Requirements
Proven experience in corporate tax accounting and compliance.Strong proficiency in preparing journal entries and managing general ledger accounts.Hands-on experience with NetSuite software, including financial reporting and operations.Expertise in month-end close processes and ensuring timely financial results.Knowledge and experience in accounts payable processes and vendor management.Ability to perform detailed bank reconciliations with accuracy.Solid financial analysis skills to support organizational strategies.Strong attention to detail and commitment to maintaining data integrity.