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We are looking for an experienced Senior Accountant to join a global gaming services organization in Las Vegas, Nevada. This role will oversee core accounting activities across multiple entities, contribute to reliable financial reporting, and strengthen consistency in close, reconciliation, and audit support processes. The ideal candidate brings strong technical accounting knowledge, hands-on NetSuite experience, and the ability to work effectively with cross-functional and international teams.
Job Responsibility:
Lead essential month-end, quarter-end, and year-end accounting activities to support accurate and timely financial reporting across multiple entities
Prepare, review, and post journal entries while maintaining the integrity of the general ledger and supporting schedules
Perform detailed variance analysis by comparing current results to prior periods, forecasts, and budgets, then communicate meaningful insights to management
Manage accrual accounting activities, including the setup, amortization, monitoring, and resolution of outstanding balances
Complete and review account reconciliations, investigate discrepancies, and drive timely resolution of reconciling items
Coordinate intercompany accounting across global entities by ensuring transactions are recorded correctly, balances align, and differences are cleared efficiently
Support internal and external audit activities by organizing requested documentation, responding to inquiries, and tracking follow-up items to completion
Identify opportunities to improve accounting workflows, reporting practices, and internal controls, and collaborate with the broader team to implement practical enhancements
Partner with accounting leadership and business stakeholders to document financial policies, share system knowledge, and contribute to broader financial analysis and operational initiatives
Requirements:
5+ years of accounting experience, including responsibility for close processes and financial reporting
Strong background in general ledger accounting, journal entries, accruals, and account reconciliations
Experience working in multi-entity environments with intercompany transactions and related reconciliations
Hands-on proficiency with NetSuite is required
Advanced Microsoft Excel skills with the ability to analyze data and explain financial variances clearly
Proven ability to support audit activities and maintain accurate, well-organized supporting documentation
Knowledge of accounting policies, internal controls, and process improvement within a fast-paced business environment