Own NetSuite implementation roadmap and partner accountability. Define requirements, review configurations, and validate deliverables. Oversee core financial configurations (GL, AR, AP, Chart of Accounts). Drive implementation of advanced modules (revenue recognition, lease accounting, subscription billing, AP automation). Configure approval workflows, reporting dimensions, and month-end close processes. Ensure bank integrations, payment processing, and reconciliation workflows are implemented. Partner with CFO and Finance team to understand and prioritize requirements. Collaborate with Engineering on integration requirements and data flows. Coordinate with Data and BI teams on reporting requirements. Document configurations, train users, and establish processes for system health. Use AI tools to accelerate work and identify AI-powered finance automation opportunities. Champion AI adoption within finance workflows.