Sr. Manager, Finance & Treasury
Listed on 2026-01-26
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Finance & Banking
Corporate Finance, Financial Analyst, Financial Manager, Financial Reporting
Overview
IGT
, where innovation meets entertainment on a global scale. IGT Gaming and Digital have joined forces with Everi
, creating a powerhouse in gaming, digital experiences, and fintech solutions. We’re about delivering thrilling, responsible, and unforgettable gaming experiences—from the casino floor to mobile screens. With a team of over 7,000 and a presence in 100+ countries, we’re global and locally legendary. We work with regulators, governments, and partners to push the boundaries while playing by the rules. If you’re ready to bring your talent to a team shaping the future of entertainment, your next big move starts here.
For more information, please visit or
The Senior Manager, Finance & Treasury will join the Global Corporate Treasury team and support strategic balance sheet analysis for the company. Responsibilities include but are not limited to: cash flow forecasting, monthly & quarterly reporting (capitalization, global cash, working capital KPIs, banking fees), covenant forecasting, capital markets transactions modeling and presentation updates, derivatives risk management (foreign exchange and interest rate), adhoc reporting, assisting on compliance, internal controls, and the audit process.
WorkLocation
This role is based onsite, full time, at our Nevada offices in the Las Vegas or Reno metropolitan areas. While the position is not remote-eligible, we welcome candidates who currently reside in these areas or are enthusiastic about relocating.
Principle Duties And Responsibilities- Compile weekly global cash flow forecast for executive management
- Compile monthly & quarterly treasury reporting for executive management
- Compile and update debt covenant forecast
- Compile monthly bank fee reporting & analysis
- Execute strategies on treasury cost reductions
- Assist with capital markets transactions, including diligence, modeling, lender presentations
- Manage the Treasury budget and all other financial statement items Treasury owns (including Bank Fees, Interest Income, Interest Expense, Debt, FX)
- Prepare the annual Interest Expense & FX budget for the Group as well as monthly FX rate forecasts used by Financial Planning and Analysis
- Liaise with internal departments:
Accounting (including external auditors), FP&A, Tax, Business Units and Legal - Ensure company compliance with company Treasury policies
- Minimum Education:
Bachelor degree in Business Administration, Finance or Accounting required - Minimum Experience:
5 years with FP&A, Accounting, or Treasury experience - Comfortable working in a fast-paced environment and the ability to multi-task as necessary
- Strong organizational and analytical skills and extremely detail-oriented
- Excellent written and verbal communication skills
- Proficiency with Excel, Word and Power Point
- Experience in SAP/BPC and Bloomberg is a plus
- Building collaborative relationships
- Decision making
- Drive results
- Foster innovation
- Personal energy
- Self-leadership
At IGT, compensation reflects your background, skills, and experience. The starting compensation range is $86,538 to $220,000, with room to go higher or lower depending on the full picture. We follow local pay laws and collective bargaining agreements, so everything is above board.
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