Finance Systems Engineer
New
G
Go1SaaS / EdTech
Vietnam - RemoteFull-TimeMiddle
Salary not disclosed
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Job Details
- Experience
- Four or more years of experience in finance systems, business systems, SaaS operations, or integration engineering.
- Required Skills
- RESTful APIsNetSuite
Requirements
- Four or more years of experience in finance systems, business systems, SaaS operations, or integration engineering.
- Hands-on NetSuite experience with deep understanding of operational-finance and order-to-cash processes.
- Demonstrated ability to independently own complex workflows end to end.
- Experience designing and supporting APIs, webhooks, integrations, or workflow automation in a production environment.
- Knowledge of invoices, payments, refunds, reconciliation, revenue dates, and multi-currency considerations.
- Experience supporting indirect-tax processes and tax-system integrations such as Vertex or comparable.
- Methodical approach to testing, exception handling, documentation, and operational support.
- Strong written and verbal communication skills for cross-functional collaboration.
- Ability to exercise good judgement regarding finance approvals, tax guidance, and controlled releases.
Responsibilities
- Own and improve NetSuite order-to-cash workflows, from customer and sales-order data through invoicing, payments, credits, refunds, reconciliation, and close support.
- Configure, troubleshoot, and safely extend NetSuite using SuiteScript 2.x, SuiteFlow, transaction forms, saved searches, SuiteAnalytics, and invoice templates.
- Design, build, and support observable, recoverable, and reconciled integrations and data flows using the appropriate APIs, webhooks, iPaaS, workflow, or scripting tools.
- Lead investigations into financial-system incidents and data-quality issues; identify root causes, restore reliable operation, and reduce recurring manual work.
- Lead requirements discovery and technical design with Finance, Accounting, Tax, and RevOps; turn operational needs into practical system changes with clear ownership and controls.
- Support billing, payment, tax, and reconciliation workflows while escalating accounting or tax-policy decisions to the accountable Finance or Tax owner.
- Own test strategy and release readiness for changes in the appropriate environment; collect user-acceptance evidence and maintain clear documentation, monitoring, and runbooks.
- Identify and deliver AI-assisted improvements to analysis, testing. Partner with finance to deploy low-risk automation and agents without bypassing approvals, human review, or financial controls.
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