NetSuite Engineer
PayU is Prosus's payments and fintech business, providing payment acceptance, payouts, cross-border payments, affordability and credit solutions, and payment-security technology.
Maintainer signals as of 9/25/2026
Projects
About PayU
PayU is an active financial-services technology company whose current operating focus is India. Its platform serves merchants through payment gateway and online/offline collection products supporting cards, UPI, wallets, EMI, BNPL, QR and other methods, plus payouts, payment links, invoices, subscriptions, cross-border payments and merchant tools. PayU's broader financial-services platform includes credit operations under LazyPay and payment-security and PayTech services through Wibmo. Prosus reports PayU processed US$90 billion in payment volume in FY26 and generated US$781 million in revenue.
Skills
Candidate Availability
Required and preferred rules are kept separate and reflect the wording in the original posting.
About the Role
The NetSuite Engineer will support financial operations within NetSuite, contribute to ERP implementation and optimization, build internal NetSuite expertise, reduce reliance on external vendors, and ensure system stability, automation, and reporting integrity.
Requirements
- At least 5 years of hands-on NetSuite experience.
- Strong understanding of Record-to-Report, Order-to-Cash, and Procure-to-Pay processes.
- Experience supporting ERP implementations, migrations, or major system changes.
- Experience with NetSuite financial configuration.
- Knowledge of Python, SQL, JavaScript, and HTML.
- Experience with NetSuite customizations, workflows, permissions, and internal controls.
- Experience with SuiteScript.
- Experience supporting REST, CSV, SOAP, and ODBC integrations.
- Ability to validate accounting and reporting impacts of system and process changes.
- Experience building reporting datasets or databases based on NetSuite data is a plus.
- Advanced SQL skills are a plus.
Responsibilities
- Provide operational support to Finance teams across Accounting, Billing, Tax, Treasury, and Procurement.
- Ensure accuracy and completeness of invoicing, revenue recognition, journal entries, and period-end postings.
- Configure, maintain, and optimize NetSuite financial setups.
- Support month-end and year-end close processes.
- Design and maintain process automations.
- Support NetSuite reporting and financial data extraction.
- Maintain documentation and ensure ITGC compliance, including access and change management.
- Analyze accounting impacts of system changes and integrations.
- Monitor and support REST, CSV, SOAP, and ODBC integrations.
- Manage external vendors and oversee vendor-delivered work.
- Act as the internal NetSuite subject-matter expert.
- Support a finance data layer sourced from NetSuite.
- Design datasets and structures for financial reporting and analysis.
- Build and optimize SQL-based queries and reports.
- Ensure alignment between NetSuite data and downstream BI and data warehouse solutions.
- Oversee system and data changes affecting financial reporting.
Benefits
- Ability to develop one's own benefits package in the MyBenefit system
- Access to an internal training platform
- Full-time employment under a contract of employment
- Friendly work atmosphere in a cooperation-driven team
- Work in an international organization
- Diverse and inclusive multicultural environment
- Opportunity to learn cutting-edge concepts in an agile environment
- Democratic work environment with ownership of outcomes
