[NetSuite Certification #4473]
NetSuite Certified Financial User Definition
NetSuite Certified Financial User is certified and qualified to use accounting and financial features in NetSuite environments after implementation.
NetSuite Certified Financial User Qualifications
Expenses
NetSuite Certified Financial User is qualified to manage expenses including direct, deferral, amortization, allocation, and forecasting.
Revenue
NetSuite Certified Financial User is qualified to manage revenue including direct, deferral, recognition, reclassification, and forecasting.
Payment Processing
NetSuite Certified Financial User is qualified to manage payment processing including inbound, outbound, cash, gift certificates, checks, credit cards, purchase cards, payment card tokens, general tokens, ACH, EFT, direct deposits, PayPal, wire transfers, Zelle, SEPA credit transfers, SEPA direct debit transfers, and bank files.
Banking
NetSuite Certified Financial User is qualified to manage banking including transfers, deposits, financial institution data imports, bank reconciliation, credit card reconciliation, and corporate card expense reconciliation.
Accounting Types
NetSuite Certified Financial User is qualified to manage accounting types including cost accounting, accrual accounting, cash basis accounting, financial accounting, governmental accounting, fund accounting, not-for-profit accounting, and lease accounting.
Accounting and Financials
NetSuite Certified Financial User is qualified to manage accounting and financials including chart of accounts, opening balances, transactions general ledger impact, current assets, fixed assets, lease assets, segment balancing, period close checklist, income statement, balance sheet, and cash statement.
Accounting Books
NetSuite Certified Financial User is qualified to manage one or more accounting books.
Currencies
NetSuite Certified Financial User is qualified to manage currencies including multiple currencies, multi-currency customers, multi-currency vendors, currency exchange rates, cross currency triangulation, anchor currencies, direct rates, inverse rates, and currency revaluation.
Taxes
NetSuite Certified Financial User is qualified to manage taxes including domestic, international, purchase, sales, and reporting.
Transactions
NetSuite Certified Financial User is qualified to create transactions including bank, time, expense, commission, payroll, purchasing, receiving, billing, inventory, manufacturing, selling, fulfilling, invoicing, returning, crediting, and financial.
Intercompany Management
NetSuite Certified Financial User is qualified to use intercompany management including subsidiaries, representing entities, transactions, netting, and elimination.
Intercompany Transactions
NetSuite Certified Financial User is qualified to create intercompany transactions including arm’s length, non-arm’s length, time, expense, purchasing, receiving, billing, transferring, selling, fulfilling, drop ship, invoicing, returning, crediting, and cross charges.
Financial and Accounting Analytics
NetSuite Certified Financial User is qualified to use financial and accounting analytics including searches, reports, financial statements, workbooks, KPIs, KPI scorecards, and dashboards.
Financial Planning & Analysis (FP&A)
NetSuite Certified Financial User is qualified to manage Financial Planning & Analysis (FP&A) including budgeting, operating expenses, capital expenses, forecasting, and strategic planning.
NetSuite Certified Financial User Continuing Education
NetSuite Certified Financial User reads accounting and financial release notes for each NetSuite release.
Suite Certified earned and maintains NetSuite Certified Financial User Certification #4473. Suite Certified is certified, skilled, and experienced to use NetSuite accounting and financial features.