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Netsuite Finance Jobs in Delaware (NOW HIRING)

... contribute to financial reporting and operations and support the department's daily ... Review and post bills into NetSuite. * Review and post sales invoices into NetSuite. * Post sales ...

Workday Project Manager

Wilmington, DE · Hybrid

$145K - $160K/yr

Bachelor's degree in business, accounting, finance, or a related field required. * 5+ years of ... NetSuite is a plus. * Strong understanding of software implementation methodologies, project ...

Netsuite Finance information

What is a NetSuite Finance professional?

A NetSuite Finance professional is someone who specializes in managing and optimizing financial processes using Oracle NetSuite, a popular cloud-based business management software. These professionals handle financial operations such as accounting, budgeting, reporting, and compliance within the NetSuite platform. They often work as financial analysts, accountants, consultants, or administrators, helping organizations streamline workflows and improve financial visibility. Their expertise ensures accurate financial data and supports business decision-making.

What are the key skills and qualifications needed to thrive as a NetSuite Finance professional?

To thrive as a NetSuite Finance professional, you need a solid understanding of accounting principles, financial analysis, and experience with ERP systems—typically supported by a degree in finance, accounting, or a related field. Proficiency in NetSuite ERP, financial reporting tools, and often NetSuite certifications are highly valued. Strong analytical thinking, attention to detail, and effective communication skills help in interpreting data and collaborating with teams. These skills ensure accurate financial operations, streamlined processes, and effective decision-making within organizations using NetSuite.

What are some common challenges faced by professionals in a NetSuite Finance role, and how can they be addressed?

Professionals in a NetSuite Finance role often encounter challenges such as adapting to evolving system updates, integrating NetSuite with other business applications, and ensuring data accuracy during financial reporting. To address these challenges, it's important to stay current with NetSuite's release notes, participate in ongoing training, and collaborate closely with IT and cross-functional teams. Additionally, leveraging NetSuite's support resources and user community can provide practical solutions and best practices for troubleshooting and optimization.

What is the difference between Netsuite Finance vs Netsuite Accountant?

AspectNetsuite FinanceNetsuite Accountant
Primary RoleOversees financial planning, reporting, and analysis within NetsuiteHandles day-to-day accounting tasks, reconciliations, and compliance in Netsuite
CertificationsCPA, CFA, or similar financial certifications often preferredCPA or equivalent accounting certifications typically required
Work EnvironmentFinance departments, financial planning teamsAccounting departments, audit teams
Employer & Industry UsageUsed in finance-focused roles across various industriesCommon in accounting firms and corporate accounting departments

While both roles work within Netsuite, Netsuite Finance professionals focus on strategic financial management and analysis, whereas Netsuite Accountants handle detailed accounting tasks and compliance. Understanding these differences helps in choosing the right career path or job focus within the Netsuite ecosystem.

What cities in Delaware are hiring for Netsuite Finance jobs?

Cities in Delaware with the most Netsuite Finance job openings:

Infographic showing various Netsuite Finance job openings in Delaware as of August 2026, with employment types broken down into 100% Full Time. Highlights an 100% In-person job distribution.

Finance - Junior Accountant

pcaltd

Wilmington, DE

$46K - $58K/yr

Full-time

Re-posted yesterday


Job description

General Description:

Phillips & Cohen Associates, LLC., the global leader in estate account management with operations in the United States, United Kingdom, Canada, Australia and New Zealand, seeks a qualified Junior Accountant.  The Junior Accountant will be responsible for completing bank reconciliations, recording accounts receivable and accounts payable entries, assist with month end close process and the daily client remittance process. The successful candidate will also collect pertinent information for third party audits, contribute to financial reporting and operations and support the department’s daily responsibilities. This is an entry level position.

Responsibilities:

  • Reconcile bank accounts daily.
  • Review and post bills into NetSuite.
  • Review and post sales invoices into NetSuite.
  • Post sales receipts and bill payments into NetSuite.
  • Assist with the month end closing process.
  • Process daily client remittances.
  • Summarize transaction details and journalizes data to general ledger.
  • Reconcile and agree balance sheet accounts.
  • Meeting the goals and objectives as set out by Management.

Desired Experience:

  • Bachelor’s Degree in Accounting or a related field.
  • Use and knowledge of accounting software a plus
  • Must be able to focus on key tasks, prioritize duties, and manage multiple tasks and priorities. Practiced analytical and problem-solving skills
  • Proficiency using Microsoft Office programs.
  • Multi-lingual fluency a plus.

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