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The Treasury Analyst will join the highly analytical and fast-paced Brightstar Lottery team in Providence, RI supporting global treasury operations with significant opportunities for professional growth. This role is responsible for conducting in-depth analyses and providing recommendations across a range of treasury activities, including derivatives risk management, cash flow forecasting, capital markets support, and compliance. The Treasury Analyst will play a key role in monitoring company financial ratios, supporting internal controls, and assisting with audit processes.
Job Responsibility:
Support daily hedging activities, including FX exposure tracking, post-trade matching and settlement, and verification of trade documentation
Assist with the preparation of monthly mark-to-market and realized gain/loss journal entries, as well as other month-end treasury reports and tasks
Prepare monthly general ledger reconciliations for assigned accounts and research discrepancies as needed
Provide analytical support for monthly accounting close meetings, including preparation of interest expense, direct managed costs, and FX gain/loss presentations
investigate material variances versus forecast
Contribute to the preparation of periodic cash flow forecasts and hedging recommendations
Prepare annual FX budget rates and monthly FX rate forecasts for use by Financial Planning & Analysis
Maintain models for WACC, hurdle rates, and internal financing interest rates
Support the Business Evaluation Team with financial analysis and modeling
Collaborate with internal departments, including Accounting, FP&A, Tax, M&A, Business Evaluation, Business Proposal, Business Units, Internal Control, and Legal, as well as external auditors
Analyze and interpret complex financial data to inform decision-making
Provide support for capital markets activities, including financial forecasting, reporting, accounting, audit, and compliance
Assist in the development and execution of capital structure strategies, share repurchase programs, and communications with rating agencies
Actively support debt capital markets initiatives, including the preparation of offering materials, monitoring market conditions, assisting with debt issuance and refinancing transactions, and maintaining relationships with banking partners and lenders
Requirements:
Bachelor’s degree in Business Administration, Finance, or Accounting required
2–5 years of relevant experience required
Advanced proficiency in Excel
strong skills in Word and PowerPoint
Experience with SAP and Bloomberg preferred
Prior experience in banking, hedging, treasury operations, or debt capital markets is a plus
Ability to thrive in a fast-paced environment and manage multiple priorities
Excellent written and verbal communication skills
Self-motivated with exceptional analytical and problem-solving abilities
Strong financial and quantitative skills
Superior time management and organizational capabilities
Nice to have:
Experience with SAP and Bloomberg
Prior experience in banking, hedging, treasury operations, or debt capital markets