Senior Finance Systems Analyst

S
Super.comFinTech
CanadaFull-TimeSenior
Salary not disclosed
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Job Details

Experience
3-5 years
Required Skills
SQLSnowflakeMicrosoft ExcelLooker

Requirements

  • 3-5 years of financial systems management, including implementation or upgrade of existing ERP or other financial solutions to improve processes.
  • Experience with Oracle NetSuite is required, with a minimum of 2 years in system administrator roles, including configuring core financial modules.
  • Proficient in data analysis with large datasets.
  • Skilled in Excel, SQL, and data warehouses such as Snowflake.
  • Skilled in BI tools like Redash and Looker.
  • Strategic thinker with the ability to assess reporting implications of process changes.
  • Strong problem-solving skills to identify root causes and recommend effective solutions.
  • Hands-on experience partnering with engineering to build system data integrations and automate finance workflows.
  • Excellent communication skills, able to bridge technical and non-technical teams effectively.

Responsibilities

  • Translate accounting and business needs into system automation workflows, collaborate with engineering partners, develop test cases, perform QA, and lead implementation, along with post-implementation support.
  • Enhance and expand ERP capabilities (NetSuite), leveraging new modules and features to streamline reporting and shorten the financial close cycle.
  • Drive process and reporting improvements, including automated journal entries and optimized data workflows for timely reporting and account reconciliations.
  • Support the finance team by serving as a key resource on finance systems, assisting with changes, upgrades, migrations, releases, and troubleshooting day-to-day data reconciliation or reporting issues.
  • Assess existing finance processes, systems, and controls to identify opportunities for optimization; track risks, issues, and system dependencies.
  • Maintain the automation roadmap and work with external partners on system updates and future system implementations.
  • Provide ongoing support to users, including training, access management, and resolving day-to-day system questions.
  • Maintain clear, robust system documentation to support financial controls and audits.
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