Senior Analyst - Treasury

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Date: Feb 24, 2019

Location: Las Vegas, Nevada, US

Company: Las Vegas Sands Corp.

Position Overview

The primary responsibility of the Senior Analyst - Treasury is to facilitate the effective management of the Company’s Global Treasury Operations, and its operating entities, and to provide insightful, actionable forward-looking analysis to management involving the treasury operations of the Company. Reporting to the Manager - Treasury, this person will also be responsible for facilitating the creation and management of the global treasury infrastructure and the implementation of global treasury policies and procedures.

All duties are to be performed in accordance with departmental and Las Vegas Sands Corp.’s policies, practices, and procedures. 

Essential Duties & Responsibilities

  • Key Performance Objectives
    • Assess, evaluate and review data for organizing projects and/or providing direction on activities, tasks or processes in accordance with company guidelines.
    • Arrange timeline to complete tasks and department assignments or projects, and meet the deadlines related to those assignments. Work on actual project or service to help achieve the objectives of the department.
    • Evaluate information to render an opinion or take action based on that information that will impact the department or function.
    • Possess skills to hasten resolution, assess course of action, and implement or take action based upon findings.
    • Direct others in completion of a task or assignment.
    • Render advice, and provide expertise or judgment based on information gathered, studied, analyzed or reviewed.


  • Key Responsibilities
    • Facilitates Treasury Operations and Treasury/Financial Analysis for the Company. Participates as a member of a treasury team that is motivated and driven to succeed.
    • Performs the daily cash management operations of Las Vegas Sands Corp and its various operating entities.
    • Implements cash management best practices and procedures to ensure efficiency, enhance internal controls, and minimize fees.
    • Analyzes activities and provides recommendations to Treasury Management associated with safeguarding and investment of the Company’s funds to ensure financial transactions follow company guidelines and policies.
    • Analyzes global debt portfolio to assure adherence of debt and interest payments and covenant compliance.
    • Prepares and initiates principal and interest payments for debt associated with all Domestic entities.
    • Develops and implements robust global cash flow forecast model to increase efficiency in borrowing/investing decisions.
    • Executes foreign exchange transactions as needed, monitoring appropriate exchange markets to ensure competitive rates.
    • Manages cash management banking relationships to ensure adherence to agreements and service quality of banking services for all company properties.
    • Analyzes, reviews and approves bank fee analyses and invoices.
    • Drives global treasury procedures and controls including compliance with Sarbanes-Oxley Section 404.
    • Acts as “Treasury Consultant” to entire organization and supply financial and treasury expertise and excellent “internal” customer support to department heads and senior management throughout the entire organization.
    • Special projects as required, working closely with senior management on various financial projects and system upgrades.
    • Consistent and regular attendance is an essential function of this job.
    • Performs other related duties as assigned.

Company Standards of Conduct

All Las Vegas Sands Corp. Team Members are expected to conduct and carry themselves in a professional manner at all times. Team Members are required to observe the Company’s standards, work requirements and rules of conduct.

Minimum Qualifications

  • 21 years of age.
  • Proof of authorization to work in the United States
  • Bachelor’s degree in Finance, Accounting or a similar field, MBA preferred.
  • CTP (Certified Treasury Professional) highly preferred. 
  • Must possess at least 1 to 2 years of progressive financial experience, preferably with a public company.
  • Demonstrated treasury operations expertise in partnering with operating entities (both Domestic & International) and direct experience dealing with external constituents and financial institutions.
  • Must be detail oriented to ensure the reliability of analyses and recommendations.
  • Must be able to direct and execute extensive treasury and financial analysis for senior management.
  • Must have superior knowledge of PC software, including Excel, PowerPoint and Access. Must have superior knowledge of on-line banking systems and both domestic and international payment processes.  Experience with Kyriba’s Treasury Workstation highly desirable.
  • Treasury workstation selection and implementation experience highly preferable. 
  • Must have the ability to create and implement short-term cash flow forecasting models.
  • Must possess the ability to implement treasury best practices solutions in all areas of the company.
  • Experience with corporate travel and entertainment credit card and purchasing card programs highly preferred. 
  • Involvement with merchant services credit card fee analysis a plus.
  • Must possess the ability to apply sound judgment, decision making and problem solving skills to effectively complete assigned functions.
  • Demonstrates ability to work effectively with existing treasury staff at both corporate and property levels and be a value-added contributor.
  • Must possess a pro-active work style that recognizes problems and looks beyond current practices to suggest solutions to maximize the effectiveness of processes
  • Ability to prioritize and handle multiple work assignments while meeting deadlines.
  • Excellent interpersonal skills needed to deal effectively with people at all levels of the organization around the world.
  • Ability to read and communicate effectively in standard English in written and oral business communications
  • Regular and reliable attendance is an essential function of the job
  • Ability to communicate clearly and effectively in English, both in spoken and written form.
  • Strong interpersonal skills with the ability to communicate effectively with guests and other Team Members of different backgrounds and levels of experience.
  • Must be able to work varied shifts, including nights, weekends and holidays.

Physical Requirements

Must be able to:

  • Physically access all areas of the property and drive areas with or without a reasonable accommodation.
  • Maintain composure under pressure and consistently meet deadlines with internal and external customers and contacts.
  • Ability to interact appropriately and effectively with guests, management, other team members, and outside contacts.
  • Ability for prolonged periods of time to walk, stand, stretch, bend and kneel.
  • Work in a fast-paced and busy environment.
  • Work indoors and be exposed to various environmental factors such as, but not limited to, CRT, noise, dust, and cigarette smoke.

Job Segment: Bank, Banking, Supply, MBA, Finance, Operations, Customer Service, Management

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