Demonstrated hands-on knowledge of NetSuite's core and advanced financial features and functionality, including chart of accounts and accounting periods; transaction processing and general ledger impact; journal entries; roles, permissions, and segregation of duties; workflows and approvals; saved searches; reports and dashboards; SuiteAnalytics; custom records and forms; audit trails; reconciliations; allocations; Multi-Book Accounting; SuiteTax; electronic payments; fixed asset management; consolidation; and close management. Required expert-level functional knowledge of the full accounting lifecycle, including Accounts Payable, Accounts Receivable, General Ledger, Fixed Assets, Cash Management, Banking and Payments, Tax, Expense Management, Intercompany Accounting, Multi-Entity Consolidation, Foreign Currency, Revenue Accounting, Financial Reporting, and month-, quarter-, and year-end close.