Scientific Games Corporation
Scientific Games:
Scientific Games (SG) is a global leader focused on delivering an ever-expanding portfolio of lottery and gaming products and services to the world's government-regulated and government-sponsored entities.
Scientific Games' global reach is made possible through the expertise, skill and dedicated efforts of its 8,000+ employees who serve lottery and gaming customers in more than 100+ countries on 6 continents.
Corporate:
When you become a member of our Corporate team, you will work across the organization to provide the knowledge, resources and tools that help Scientific Games deliver outstanding service and support to our internal clients.
Our Corporate Group includes Finance, Investor Relations, Legal, Compliance, Internal Audit, Facilities, Human Resources, Information Technology and Corporate Communications.
We’re always looking for team players who are customer centric, who seek to challenge themselves and have the drive to move our business forward.
If this sounds like you…Let’s make games!
Position Summary
The Director, Treasury will coordinate and direct the Company’s corporate treasury functions.
The position works closely with senior management across the organization, and handles confidential information.
Supervisory Responsibilities
Supervisory responsibilities include, but are not limited to: training and mentoring employees; planning, assigning, delegating and directing work; appraising performance; rewarding and disciplining employees; and resolving employee issues.
Essential Duties and Responsibilities
Manage projects related to working capital optimization, treasury process improvement, and complexity reduction
Oversee consolidated cash management and investment activities including management of bank accounts
Prepare and manage the Company’s liquidity forecast and long-range projections
Oversee corporate debt management, to include corporate debt administration; monitoring and tracking debt pay downs and advances; and monitoring and tracking interest expense payments on corporate debt
Develop, prepare, and present treasury reporting for senior management
Maintain Treasury policies and procedures
Prepare and assist with M&A modeling, evaluation, financial due diligence, and integration activities as needed
Qualifications
Education and Experience
Bachelor’s degree in accounting, finance or related field; MBA, CPA, or CTP a plus
Minimum of 7 years of relevant experience, ideally including cash management, debt compliance, and working capital management in an international organization
Ability to effectively present information, mange projects, drive treasury initiatives across different levels and different geographies within the organization
Ability to independently develop recommendations on strategy, process improvements and deliverables based on prior experience and industry knowledge
Physical Requirements
The physical demands described here are representative of those that must be met by an employee to successfully perform the essential functions of this job.
Reasonable accommodations may be made to enable individuals with disabilities to perform the essential functions.
While performing the duties of this job, the employee is regularly required to sit, stand, walk, bend, use hands, operate a computer, and have specific vision abilities to include close and distance vision, and ability to adjust focus working with computer and business equipment.
#LI-JJ2
SG is an Equal Opportunity Employer and does not discriminate against applicants due to race, color, sex, age, national origin, religion, sexual orientation, gender identity, status as a veteran, and basis of disability or any other federal, state or local protected class.
If you’d like more information about your equal employment opportunity rights as an applicant under the law , please click here for EEOC Poster .
Summary
Location: Las Vegas, NV
Type: Full time