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Sr. Financial Analyst - Commercial Finance
Whsmith North America
Finance leader job in Las Vegas, NV
Note: This is a fully onsite position based in Las Vegas, NV. Candidates must be able to work from our Store Support Center full-time; remote or hybrid work is not available.
Join our Support Center and be a pivotal resource to our field and distribution teams -where innovation, cross-functional collaboration, and career growth come together in an exciting environment!
Location: Support Center, 6600 S Bermuda Rd, Las Vegas, NV 89119
Schedule: Monday - Friday, Weekends as needed
,
40 - 50 hours per week
Pay: $105,000 - $110,000
Job Type: Full-time
We are seeking a Senior Financial Analyst - Commercial Finance to join our Commercial FP&A team and support the growth and profitability of our travel retail operations. This position will work directly with leadership of the Commercial team and be responsible for a wide array of financial, strategic, and operational analysis, with a particular focus on analysis as it relates to supplier income. Supplier income comprises a material portion of the company's net profit and plays a critical role in the company's overall financial strategy. This role will support the process for budget, forecast, and long-range planning for supplier income and provide ongoing analysis and decision support for the Commercial business leaders.
Job Responsibilities
Assist in developing the budgeting, forecasting, and LRP for total North America supplier income.
Evaluate the forecast for risk and opportunities to present to executive leaders.
Provide ad hoc decision support on new supplier income initiatives.
Collaborate with accounting to ensure proper recognition of supplier income.
Help implement and improve upon new processes related to supplier income tracking.
Qualifications/Requirements
Bachelor's degree in finance, economics, accounting, or a related field. MBA a plus
3+ years' work experience including financial and/or operational analysis
Experience with financial budgeting, planning, and analysis
Strong technical, analytical, and problem-solving skills
Strong communication and collaboration skills and must be comfortable working with senior leaders
Strong Excel skills and experience with EPM tools
Must be a self-starter and willing to work in a fast-paced, high growth environment
Benefits
Employee Discount
Employer-Paid Life Insurance
Flex Time Off
Disability Insurance
Medical, Dental, and Vision Insurance
Paid Parental Leave
401(k) with company match
About Us
WHSmith is a leading global travel retailer with over 1,700 stores across 30 countries worldwide. WHSmith North America, incorporating Marshall Retail Group (MRG) and InMotion, represents over half of the Company's international store estate, with a collection of attractive, successful specialty retail stores located in airports and resorts across North America.
EEO/ADA/DFWP
WHSmith North America is committed to employing a diverse workforce. Qualified applicants will receive consideration without regard to race, color, religion, sexual orientation, national origin/ancestry, age, gender identity, gender expression, military/veteran status, marital status, disability status or any other basis prohibited by law. Reasonable accommodation will be provided for qualified individuals with disabilities.
$105k-110k yearly 4d ago
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Controller
Acquisition.com 4.5
Finance leader job in Las Vegas, NV
Role:
The Controller at Acquisition.com owns the design and execution of a world-class, scalable accounting and reporting function that powers our growth. You will serve as the go-to expert for internal operations while also guiding portfolio companies toward best-in-class accounting and finance practices, helping them scale efficiently and providing the visibility needed to stay ahead.
Reporting to the CFO, you ensure the financial engine runs smoothly, remains compliant, and delivers reliable results. This role goes beyond the numbers and requires a deep understanding of how businesses operate, the ability to identify risks before they become roadblocks, and the judgment to implement solutions aligned with what matters most.
If you are ready to take ownership of financial operations, make a measurable impact across high-growth businesses, and thrive in a fast-paced, entrepreneurial environment, this role is built for you.
Responsibilities:
Own GAAP-compliant general ledger accounting, including monthly, quarterly, and annual close and reporting
Lead revenue recognition under ASC 606, ensuring accurate policies, documentation, and execution
Manage and develop the accounting team and oversee external accounting and audit partners
Ensure accurate and timely financial statements, consolidations, and management reporting across all entities
Oversee tax compliance with a focus on sales and use tax, filings, and third-party coordination
Establish and maintain accounting policies, internal controls, and documentation to support audit readiness and scalability
Requirements:
8+ years of progressive accounting experience, including leadership responsibility
Deep expertise in GAAP with hands-on general ledger ownership
Proven experience owning revenue recognition under ASC 606
Experience leading monthly, quarterly, and annual close and reporting processes
CPA strongly preferred; IFRS knowledge preferred
Results:
Timely, Accurate Reporting: Financial statements are consistently delivered on time and in full GAAP compliance
Efficient Close: Month-end close is completed within a 5-10 business day cycle with minimal rework
Audit-Ready Operations: The company successfully completes its first external audit with strong controls, documentation, and governance
Scalable Best Practices: Clear accounting policies, SOPs, and internal controls are implemented and followed across all entities
Tax & Compliance Excellence: All sales & use, payroll, franchise, and other regulatory requirements are filed accurately and on time through effective third-party management
Operational Visibility: Executives and stakeholders have continuous access to accurate, actionable financial and operational data
Location:
Remote, USA with some travel to Las Vegas
Must reside in AL, AZ, CA, FL, GA, IN, MD, MI, MN, NV, OR, PA, TN, TX, UT
Compensation:
$185,000 - $225,000 base salary + 15% performance bonus max
The salary range may be inclusive of several levels that would be applicable to the position. Final salary will be based on a number of factors including, level, relevant prior experience, skills, and expertise. This range is only inclusive of base salary, not benefits (more details below).
Benefits:
We offer a comprehensive, evolving benefits package designed to support your health, family, and wellbeing. Some key offerings:
Flexible Unlimited Paid Time Off and Company-wide Holidays
Employer sponsored Medical, Dental, & Vision plans
$1,950 annual Employer HSA contribution
FSA options including dependent care
Employee assistance program and mental health resources
Employer match program for 401(k), eligible for both Traditional and Roth accounts
$1,200 annual wellness reimbursement through JOON that supports health, family care, pet care, fitness, and more!
For local or visiting team members, enjoy access to a state of the art gym at our HQ in Las Vegas
* Benefits eligibility applies only to full-time roles.
ACQ Core Values:
Our core values are the heart and soul of this incredible company. The right person for this role will appreciate each of these values, personally subscribe to them, and understand why each is critical to having a great business.
Competitive Greatness
Be at your best when your best is needed. Enjoyment of a hard challenge. Those who have the drive to constantly improve, the superior intellect and long term commitment to see incremental improvements become compounding returns.
Sincere Candor
Have the self awareness to accurately perceive and communicate hard truths that improve others and self, the courage to do so, and the humility to accept them, even when it hurts. Nothing great can be built without feedback: internally or externally.
Unimpeachable Character
Be the type of person with whom people are always proud to associate, personally and professionally. We look for true alignment of thoughts, words, and actions towards a goal worth pursuing.
$185k-225k yearly Auto-Apply 20d ago
Director, Financial Reporting
International Gaming Technology Inc.
Finance leader job in Las Vegas, NV
IGT, where innovation meets entertainment on a global scale! We've recently leveled up-IGT Gaming and Digital have joined forces with Everi, creating a powerhouse in the world of gaming, digital experiences, and fintech solutions. From the casino floor to your mobile screen, we're all about delivering thrilling, responsible, and unforgettable gaming experiences. Whether it's spinning reels, placing bets, or powering secure payments, we bring the fun-backed by serious tech, deep player insights, and a passion for innovation. With a team of over 7,000 and a presence in 100+ countries, we're not just global-we're locally legendary. Our teams work closely with regulators, governments, and partners to ensure we play by the rules while pushing the boundaries of what's possible. If you're ready to bring your talent to a team that's shaping the future of entertainment, your next big move starts here. For more information, please visit *********** or **************
Overview
The Director, Financial Reporting is responsible for overseeing and directing the global financial reporting function, ensuring compliance with US GAAP, and other relevant regulatory standards across multiple international jurisdictions. This leader will drive consistency, accuracy, and transparency in financial reporting across all global business units, and liaise with external auditors, internal stakeholders, and regulatory bodies.
Key Responsibilities:
* Lead the preparation and submission of consolidated financial statements in accordance with US GAAP.
* Implement and maintain global accounting policies and procedures to ensure consistent financial practices across subsidiaries.
* Collaborate with tax, treasury, FP&A, and regional finance teams to ensure alignment of financial reporting with corporate goals.
* Provide guidance and technical expertise on complex accounting matters, including revenue recognition, leases, foreign currency, and acquisitions.
* Manage and develop a high-performing international reporting team, providing mentorship and leadership.
* Support M&A due diligence and integration efforts from an accounting and reporting perspective.
* Lead continuous improvement initiatives for financial reporting processes, controls, and systems.
* Stay current with changes in global accounting standards and advise leadership on their potential impact.
Requirements
Required Qualifications:
* Bachelor's degree in Accounting, Finance, or related field; CPA, CA, or equivalent certification required.
* 10+ years of progressive experience in financial reporting, with at least 5 years in a leadership role.
* Strong technical knowledge of US GAAP.
* Experience in a multinational environment with responsibility over multi-currency consolidations and diverse regulatory regimes.
* Proven track record in managing complex financial reporting processes across different geographies.
* Familiarity with ERP systems (e.g., SAP, Oracle, NetSuite) and financial consolidation tools (e.g., Hyperion, OneStream, Tagetik).
* Excellent analytical, communication, and presentation skills.
* Ability to influence and collaborate with senior leadership and cross-functional teams globally.
Preferred Qualifications:
* Experience with SOX compliance or similar internal control frameworks.
* Background in Big Four public accounting or equivalent.
* SAP experience.
* Experience in a public company or IPO environment is advantageous.
At IGT, we believe compensation should reflect you-your unique background, skills, experience, and even where you work. That's why our starting compensation range is $106,250 to $250,500, with room to go higher or lower depending on the full picture. We also follow all local pay laws and collective bargaining agreements, so everything's above board.
But wait-there's more! Base pay is just the beginning. Our Total Rewards program is packed with perks:
* Sales roles? You might earn commissions.
* Other roles? You could snag discretionary bonuses.
* Benefits galore: Health, dental, vision, life, accident & disability insurance.
* Tuition reimbursement to keep your brain buzzing.
* Paid time off to recharge.
* Wellness programs to keep you feeling great.
* Identity theft insurance for peace of mind.
* 401(k) Savings Plan with company contributions to help you plan for the future.
Note: Some programs have eligibility requirements-but we'll help you navigate those.
$106.3k-250.5k yearly 19d ago
Operational Financial Controllers
Astound Group 4.2
Finance leader job in Las Vegas, NV
WHO WE ARE…
ASTOUND is a global experiential powerhouse with three core verticals: Brand Experiences, Sports Experiences, and Immersive Entertainment. From trade shows and large-scale events to experience centers and IP-driven attractions, we create programs that combine creative excellence, operational discipline, and ROI-focused outcomes.
With over 200 employees, a 350,000 sq. ft. production facility, and execution in more than 40 countries, ASTOUND is defining what the modern experiential partner looks like. Now, in our 25th year, we are expanding into a growth engine for our clients-powered by AI, integrated creative, and next-gen content strategy -and for the business itself, driving both revenue and enterprise value.
JOB SUMMARY:
ASTOUND is hiring elite Operational Financial Controllers to help run the business at the project level with clarity, control, and speed. These individuals are not traditional accountants - they are embedded business operators who understand how to manage margin, time, spend, risk, and reporting in a creative, fast-moving environment.
They will partner with Project Managers, Account Managers, and the Finance team to ensure real-time accuracy of job costing, cash flow forecasting, invoicing, and P&L performance per project. You are the financial pilot in the seat next to the delivery lead.
KEY RESPONSIBILITIES:
Project Setup & Governance
Create project financial structures (WBS, cost codes, budgets) in the ERP; validate estimates and margin targets before kickoff.
Establish change-order, PO, and approval workflows aligned to budget caps and client SOW.
Job Costing & WIP
Track labor, materials, freight, and 3rd-party services daily; reconcile timecards and receiving to POs.
Prepare monthly WIP/percent-complete schedules, cost-to-complete forecasts, and margin walk explanations.
Billing & Cash
Monitor deposits, progress, and milestone invoices; manage retention and close-out billing; resolve deductions promptly.
Partner with AR to minimize DSO and escalate collection risks early.
Variance & Performance
Lead weekly project financial reviews: budget vs. actuals, risk/opportunity register, and recovery plans.
Analyze drivers of variance (scope creep, rush fees, rework) and recommend corrective actions.
Controls & Compliance
Enforce purchasing and spend policies; verify 3-bid or preferred-vendor compliance where required.
Support revenue recognition (ASC 606), audit requests, and month-end close (journals, accruals, reconciliations).
Cross-Functional Enablement
Advise PMs on pricing add-ons, change orders, and schedule impacts; quantify trade-offs for client approvals.
Contribute to continuous improvement of ERP, dashboards, and close processes.
QUALIFICATIONS:
5-8+ years in project accounting/controlling within job-based environments (exhibits, events, custom fabrication, construction, or manufacturing).
Strong command of job costing, WIP, percent-complete , and cost-to-complete forecasting .
ERP proficiency (e.g., NetSuite, Sage Intacct, Acumatica, MS Dynamics) and Excel modeling (lookups, pivots, index/match).
Familiarity with procurement controls, 3rd-party vendor management, and freight/logistics cost capture.
Clear communicator who can brief executives and coach PMs; high ownership and urgency under tight show timelines.
THE VALUES YOU ALIGN WITH:
Just as important as the skills you bring to our team, is alignment with our values. This means that as a collective we will collaborate with the same mindset to deliver incredible, market leading experiences for our clients.
Steadfast Courage - We fearlessly take on challenges and make bold decisions to achieve remarkable results.
Unwavering Integrity - We hold ourselves to the highest ethical standards and prioritize honesty, transparency, and professionalism.
Boundless Creativity - We push boundaries with innovative, collaborative ideas that surpass expectations and create unforgettable experiences.
Unparalleled Service - We fearlessly take on challenges and make bold decisions to achieve remarkable results.
Insatiable Curiosity - We never stop learning, exploring, and taking risks to create breakthrough experiences.
Constant Collaboration - We thrive on teamwork, leverage diverse perspectives, and support each other to deliver experiences greater than the sum of their parts.
BENEFITS AND COMPENSATION:
The compensation package will be commensurate with experience. Our employees are entitled to a standard set of benefits, including health and dental insurance and 401(k) with company match.
Excellent Medical Insurance
Excellent Dental Insurance
Excellent Vision Insurance
Paid Time Off, Holiday Pay
401K matching program after 90 days of employment
100% Company Life and Long-Term Disability Coverage
Employee Referral Program
DIVERSITY COMMITMENT:
We are proud to be an equal opportunity employer, and we welcome talented individuals from all backgrounds to apply. Our goal is to ensure that every candidate is evaluated solely on their qualifications, merits, and potential to contribute meaningfully to our team and mission.
Who You'll Work With In our Salesforce business, we help our clients bring the most impactful customer experiences to life and we do that in a way that makes our clients the hero of their transformation story. We are passionate about and dedicated to building a diverse and inclusive team, recognizing that diverse team members who are celebrated for bringing their authentic selves to their work build solutions that reach more diverse populations in innovative and impactful ways. Our team is comprised of customer strategy experts, Salesforce-certified experts across all Salesforce capabilities, industry experts, organizational and cultural change consultants, and project delivery leaders. As the 3rd largest Salesforce partner globally and in North America, we are committed to growing and developing our Salesforce talent, offering continued growth opportunities, and exposing our people to meaningful work that aligns to their personal and professional goals.
Job Title: Director, Financial Services Cloud - Salesforce
As a Director in our Global Salesforce Financial Services Cloud capability practice, you'll lead and drive sales pursuits, expand our Financial Services Cloud and Financial Services footprint through exceptional client delivery, and develop and cultivate client relationships within the Financial Services industry, and its sub verticals.
This is an exciting opportunity for a results-driven leader with client management, sales, and client delivery experience working with financial services customers.
This role requires deep industry expertise and the ability to interface with senior level client executives. With this deep expertise comes the ability to help clients think strategically about their investments in the Salesforce platform and the required services to implement.
The ideal candidate has experience leading and driving complex Financial Services Cloud pursuits and has a passion for both sales and delivery. In this role, you will focus on supporting sales pursuits, providing subject matter leadership, client management, client delivery, and leading the Salesforce account strategy in partnership with regional market leadership for an account and/or set of accounts.
Responsibilities:
Support sales pursuits; serve as a global leader that encourages Pursuit Excellence throughout the deal cycle.
* Supports sales pursuits and sales process in partnership with local market leadership and global industry and capability leaders
* Proactively engages capability leadership; partners with go to market leaders, regional leaders to help solution the engagement approach and scope for our clients
* Determines sales strategy inclusive of win themes in partnership with regional market sales leadership
* Manage an overall team utilization target of 76%
* Supports development of proposal and statement of work
* Drives decision making on deal structure in partnership with sales solution leads
* Ensures deal due diligence (staffing, financials, legal, risk management, contract approval gates)
* Work closely with Slalom's Talent Acquisition team to attract the best Salesforce talent in the market
* Identifies pursuit close plans, identifies blockers and risks, and escalates any issues impacting pursuit progress
* Actively participates in driving pursuits to closure and supports contracting process in partnership with regional and local sales leadership
Business development:
Focuses on increasing our Financial Services Cloud footprint across Banking, Insurance and Wealth and Asset Management accounts
* Responsible for $15-20M+ annually within the Financial Services Cloud Capability
* Proactively thinks beyond the project and product to continue to expand our engagements with our clients
* Serves as a bridge between pursuit and delivery teams; focuses on identifying opportunities to expand our footprint on accounts to bring more to our customers in partnership with Salesforce and other capabilities
* Leverages relationships across the ecosystem to nurture leads, opportunities, and existing partnerships
Client Engagement Management:
Builds and cultivates relationships with senior clients (project sponsor, director level and above)
* Shares industry and product thought leadership in partnership with Slalom Industry and Salesforce Industry Capability leadership
* Identifies opportunities for Slalom to continue to help our clients achieve business objectives
* Partners with in-market Accountable Executives and Client Partners to ensure customer success and satisfaction, using Slalom's "Customer Love" survey criteria
Delivery & Delivery Excellence:
Exceptional client delivery; responsible for ≥60% individual utilization delivering industry specific solutions and offerings
* Engages as part of client project teams ranging from 2-15+ consultants, and brings industry perspective and expertise to the overall project engagement
* Keeps a pulse on industry trends through client engagement and delivery and provides feedback and insights to industry leadership to inform our solution program
* Provides oversight and project delivery governance best practices, and oversees project delivery quality
Industry & Platform Expertise:
* 10+ years' experience in the Financial Services industry
* 10+ years' consulting experience
* 3+ years' leading Financial Services Cloud programs
* Maintains awareness of industry best practices (working with Industry leaders)
* Broad understanding of Salesforce and the Financial Services ecosystem and offerings (working with Capability leaders)
Qualifications:
* Minimum 3-5 years of account/delivery management experience
* Experience working with banking customers and experience in a large consulting environment
* 3-5 years' experience selling and delivering within the Salesforce Financial Services ecosystem
* Previous sales and consulting experience, as well as experience working in an account leadership and/or customer success role
* Prior experience meeting and exceeding sales targets of a similar size
* Skilled at leading teams through complex technology solution sales
* Passionate about financial services, and technology
* Proven track record in selling through exceptional client delivery
* Experienced in building relationships with customers (director level and above)
* Able to partner with clients to understand their organizational needs and recommend solutions that add value to their business
* Strong customer service and interpersonal skills
* Budget and project management experience
* Excellent verbal and written communication skills
* Able to travel up to 30%
About Us
Slalom is a fiercely human business and technology consulting company that leads with outcomes to bring more value, in all ways, always. From strategy through delivery, our agile teams across 52 offices in 12 countries collaborate with clients to bring powerful customer experiences, innovative ways of working, and new products and services to life. We are trusted by leaders across the Global 1000, many successful enterprise and mid-market companies, and 500+ public sector organizations to improve operations, drive growth, and create value. At Slalom, we believe that together, we can move faster, dream bigger, and build better tomorrows for all.
Compensation and Benefits
Slalom prides itself on helping team members thrive in their work and life. As a result, Slalom is proud to invest in benefits that include meaningful time off and paid holidays, parental leave, 401(k) with a match, a range of choices for highly subsidized health, dental, & vision coverage, adoption and fertility assistance, and short/long-term disability. We also offer yearly $350 reimbursement account for any well-being-related expenses, as well as discounted home, auto, and pet insurance.
Slalom is committed to fair and equitable compensation practices. For this role, we are hiring at the following levels and targeted base pay salary ranges:
East Bay, San Francisco, Silicon Valley:
Director: $249,000-$307,000
San Diego, Los Angeles, Orange County, Seattle, Boston, Houston, New Jersey, New York City, Washington DC, Westchester:
Director: $228,000-$281,000
All other locations:
Director: $209,000-$258,000
In addition, individuals may be eligible for an annual discretionary bonus. Actual compensation will depend upon an individual's skills, experience, qualifications, location, and other relevant factors. The salary pay range is subject to change and may be modified at any time.
We will accept applicants until January 30, 2026, or until the position is filled.
We are committed to pay transparency and compliance with applicable laws. If you have questions or concerns about the pay range or other compensation information in this posting, please contact us at: ********************.
EEO and Accommodations
Slalom is an equal opportunity employer and is committed to attracting, developing and retaining highly qualified talent who empower our innovative teams through unique perspectives and experiences. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, national origin, disability status, protected veterans' status, or any other characteristic protected by federal, state, or local laws. Slalom will also consider qualified applications with criminal histories, consistent with legal requirements. Slalom welcomes and encourages applications from individuals with disabilities. Reasonable accommodations are available for candidates during all aspects of the selection process. Please advise the talent acquisition team or contact ****************************** if you require accommodations during the interview process.
$249k-307k yearly Easy Apply 36d ago
Treasury Manager
Tensorwave
Finance leader job in Las Vegas, NV
Job Description
Our mission at Tensorwave Cloud is to build seamless, secure, reliable, and resilient AI infrastructure at scale, eliminating barriers and challenging the status quo to empower builders and support AI innovation.
About the role
We are seeking a Treasury Manager, reporting to the EVP of Finance, responsible for owning the company's liquidity strategy, debt management, treasury operations, and cash flow oversight, particularly for Special Purpose Vehicles (SPVs).
The Treasury Manager will be key to supporting our capital-intensive growth by ensuring robust liquidity, maintaining strict lender compliance, and optimizing the capital structure.
This manager will collaborate closely with FP&A, Accounting, Legal, Procurement, and Supply Chain to provide accurate, forward-looking visibility into cash needs and manage large-scale capital deployments.
This position is an excellent fit for a professional with a strong background in treasury, corporate banking, leveraged finance, credit analysis, or capital markets who is eager to build and drive the treasury function in a fast-growing, complex operational environment.
Responsibilities
Establish and execute a corporate investment framework to optimize yield on surplus cash while preserving capital and managing counterparty risk
Own cash positioning and liquidity forecasting, including daily operations, a 13-week cash forecast, and long-term liquidity modeling across corporate entities and SPVs
Monitor and plan cash requirements for capital projects, vendor payments, SPV obligations, and operating expenses
Optimize working capital, internal transfers, and cash movement across entities
Maintain strong internal controls over cash, including banking access, approvals, and disbursements
Manage debt schedules and lender compliance, including interest, amortization, maturities, and covenant tracking
Prepare and deliver timely covenant and lender reporting, and support refinancing or new credit facilities
Oversee SPV-level cash flows, including capital contributions, distributions, interest payments, and scenario analysis
Partner with FP&A and Accounting on forecasting, reporting, eliminations, and liquidity planning
Serve as the primary relationship owner for banks, lenders, and financing partners
Manage banking infrastructure, including portals, signatories, and KYC/AML documentation
Support month-end close activities related to cash reconciliations and SPV entries
Drive treasury process improvement, documentation, and controls, including tooling and ERP integrations (NetSuite preferred)
Collaborate cross-functionally with Legal, Procurement, and Supply Chain to align financing, compliance, and capital outflows
Required Experience
Bachelor's degree in Finance, Accounting, Economics, Business Administration, or a related quantitative field
7+ years of experience in a relevant field: corporate treasury, investment banking, corporate banking, leveraged finance, credit analysis, or capital markets
Proven expertise in capital structures, debt mechanics, covenants, and developing comprehensive liquidity plans
Experience with complex multi-entity structures, SPVs, or project-finance-style cash flow modeling
Advanced proficiency in Excel/Google Sheets, specifically for building robust cash flow and debt models
Familiarity with banking platforms, treasury workstations, and ERP systems (NetSuite preferred)
Exceptional attention to detail, strong problem-solving capabilities, and the ability to manage multiple competing priorities
We're looking for resilient, adaptable people to join our team-folks who enjoy collaborating and tackling tough challenges. We're all about offering real opportunities for growth, letting you dive into complex problems and make a meaningful impact through creative solutions. If you're a driven contributor, we encourage you to explore opportunities to make an impact at TensorWave. Join us as we redefine the possibilities of intelligent computing.
What We Bring
Mission driven company
Competitive Salary
Stock Options
100% paid Medical, Dental, and Vision insurance
Flexible PTO
Paid Holidays
401(k)
Parental Leave
Flexible Spending Account
Short Term Disability Insurance
Life and Voluntary Supplemental Insurance
Mental Health Benefits through Spring Health
We're looking for resilient, adaptable people to join our team, people who believe in the mission and think at massive scale. The solutions that worked on a handful of devices will not work at Exascale. Be prepared to be pushed daily, to learn a lot, and literally build the future.
Tensorwave is an equal opportunity employer, committed to fostering an inclusive and supportive workplace. All qualified applicants and candidates will receive consideration for employment without regard to race, color, religion, sex, disability, age, national origin, or veteran status.
$88k-128k yearly est. 5d ago
Mgr, Ext Fin Reporting
BHE
Finance leader job in Las Vegas, NV
Basic Purpose Coordinates the preparation and review of all required filings for Nevada Power Company and Sierra Pacific Power Company (together, the “Nevada Utilities”) with the United States Securities and Exchange Commission ("SEC") and the Federal Energy Regulatory Commission (“FERC”), and other nonpublic external financial reports within the NV Energy organization. Assists in the preparation of the NV Energy, Inc. (“NV Energy” or the “Company”) reporting requirements, which are included in required Berkshire Hathaway Energy (“BHE”) internal and external reports, including the SEC reports. Ensures the accuracy and timeliness of all external financial reports; oversees the monitoring and implementing of new accounting guidance and SEC and FERC rules; provides support and direction to the business and manages the relationship with the company's external auditors. Coordinates the recording, preparation and audit related to all company benefit plans. Supports the NV Energy regulatory team in preparing testimony, regulatory responses to data request and other similar work, as needed.
Essential Education, Skills, and Environment
Education and Work Experience
Bachelor's degree from an accredited school in accounting or related field and 6 years of progressive work experience. Must possess a Certified Public Accountant designation.
Specialized Knowledge and Skills
Demonstrated knowledge of:
Technical and understanding of financial reporting and the company's business process.
Skills such as:
Analytical, problem-solving, decision-making, presentation, interpersonal and communication.
Leadership, project management, prioritize, and managing multiple issues and projects concurrently.
Maintaining sensitive and confidential information regarding company information.
Equipment and Applications
PCs, word processing, spreadsheet and database software.
Work Environment and Physical Demands
General office environment. No special physical demands required.
Essential Duties and Responsibilities
Coordinates the preparation and review of NV Energy's SEC and FERC financial statements and review of XBRL tagging of the Nevada Utilities' SEC filings, including: Form 10-K, Form 10-Q, Form 8-K and registration statements as required; and review of FERC filings, including: Form 1, Form 2A and Form 3Q. Works with the BHE team to ensure consistency and accuracy of presentation and disclosure of the NV Energy financial statements within the BHE filings.
Manages the preparation and review of variance analysis reports and memos, including balance sheet changes and period to period income statement variances and responses to information and data requests received from BHE.
Oversees the research, resolution and documentation of all Company accounting and reporting issues, in a manner consistent with BHE's non-routine policy. Review includes detailed accounting review of contracts to determine proper accounting treatment. Completes obtaining quarterly signoffs on issues related to legal contingencies, uncertain tax positions, assets not in rates, and other areas as assigned. Monitors developments of new accounting guidance and SEC rules in coordination with BHE corporate, business units and the Company's external auditors, analyzes the impact, documents the new accounting and disclosure requirements, and coordinates the implementation of the new guidance or rules.
Manages all accounting and reporting requirements associated with the employee benefit plans, including leading the coordination of the benefit plan audits; coordinating the information and assumptions required by external actuaries; developing and maintaining relevant process maps, desk procedures, and other relevant documentation.
Oversees the review of investor conference presentations; offering memorandums, as applicable; internal sales analysis reports; and other reports necessary for regulatory, legal, corporate communications or other requirements; to ensure consistency and accuracy of presentation and disclosure. Provides support to the regulatory team with federal and state regulatory filings, preparing testimony, responses to data requests, and other similar work as needed.
Coordinates and manages the external audit work paper preparation, the review and resolution of issues, audit process improvements and audit status meetings. In coordination with BHE corporate accounting, manages the relationship with the Company's external auditors. Coordinates the department's compliance activities relative to Sections 202, 302 and 404 of the Sarbanes-Oxley Act of 2002, consistent with BHE corporate policies.
Performs administrative activities necessary for the effective management of the department, including employee safety; selection and development of employees; salary administration; budget administration; employee counseling and motivation; organization goals and objectives; and planning, organizing, integrating, measuring and reporting the work performed within the department.
Monitors and enforces all compliance requirements for area of responsibility.
Ensures all compliance aspects of position are known and followed; understands and complies with all policies, codes and regulations applicable to position and company.
Performs related duties as assigned.
$92k-127k yearly est. Auto-Apply 19h ago
Senior Financial Controller
Siegel Group Nevada 4.5
Finance leader job in Las Vegas, NV
Amazing Brands is seeking a Senior Financial Controller to lead accounting and financial operations across a multi-brand, multi-location restaurant platform operating in multiple states and scaling rapidly.
This is a senior, hands-on role responsible for financial accuracy, close discipline, KPI visibility, and operational reporting. The right candidate understands restaurant economics at scale and can translate operational data into clean financials and actionable insight.
Restaurant experience is required. Restaurant365 experience strongly preferred.
Essential Duties & Responsibilities
Financial Ownership & Close
Own monthly, quarterly, and annual close across all brands and locations
Deliver accurate P&Ls, balance sheets, and cash flow reporting
Maintain chart-of-accounts discipline and location-level consistency
Oversee bank, credit card, vendor, and intercompany reconciliations
Ensure proper accruals, prepaids, fixed assets, and depreciation
Restaurant Accounting & Margin Control
Lead food, beverage, and paper cost accounting
Monitor labor costs, payroll, benefits, and scheduling efficiency
Track COGS, waste, comps, voids, discounts, and promotions
Partner with Operations to explain variances and improve margins
KPIs, Systems & Controls
Define and track operational and financial KPIs
Build reporting dashboards leadership actually uses
Leverage Restaurant365, Paycom, and POS systems (Toast, Aloha, etc.)
Establish scalable internal controls and approval workflows
Budgeting & Growth
Lead annual budgets and rolling forecasts
Support new store openings and system setup
Qualifications
Bachelor's degree in Accounting or Finance
7+ years of restaurant or multi-unit hospitality accounting experience
Full ownership of close processes
Strong understanding of restaurant P&Ls and POS data
Compensation & Benefits
Salary commensurate with experience
Performance-based bonus
Health, dental, vision, PTO, and holidays
$78k-108k yearly est. 16d ago
Plant Controller
Procaps Labs 4.3
Finance leader job in Henderson, NV
Job Description
The Plant Controller is responsible for managing the financial operations of the manufacturing plant, ensuring accurate financial and management reporting, budgeting, and operational metrics. This role serves as a strategic business partner to plant leadership team, the CFO, and corporate Leadership - providing financial insights that drive operational performance, cost efficiency, and long-term profitability.
The ideal candidate combines strong manufacturing cost accounting expertise with strategic FP&A acumen, GAAP compliance, and the ability to translate complex financial data into actionable insights that support ProCaps' continued growth in the nutraceutical industry.
Desired Attributes
Strategic mindset with hands-on execution ability.
Detail-oriented and highly organized.
Collaborative leader who thrives in a fast-paced, mission-driven manufacturing environment
Passion for health, wellness, and ProCaps' vision of quality and integrity.
ESSENTIAL JOB DUTIES AND RESPONSIBILITIES
Financial Management
Oversee plant-level accounting operations, including general ledger, cost accounting, marketing analytics, and accounts payable/receivable
Maintain and enforce internal controls ensuring compliance with GAAP, corporate policies, and all local, state, and federal regulations.
Coordinate and support internal and external audits, litigation responses, and financial due diligence.
Manage all aspects of inventory and cost accounting including product costing, standard cost updates, and variance analysis.
Financial Planning & Analysis (FP&A)
Partner with Corporate FP&A to prepare, analyze, and present monthly, quarterly, and annual budgets and forecasts.
Provide detailed variance, trend, and margin analysis with actionable recommendations for cost control and performance improvement.
Build and maintain financial models to support strategic initiatives, product launches, and operational efficiency projects.
Deliver regular marketing and sales performance analysis, evaluating ROI on campaigns and promotional spend.
Operational Metrics & Business Performance
Track, interpret, and communicate key operational and financial metrics, such as yield, throughput, labor efficiency, and waste reduction.
Collaborate with Plant Management to improve production KPIs and achieve cost savings through process optimization.
Develop and maintain performance dashboards and scorecards for management review.
Provide insights connecting operational data to financial results, enabling proactive decision-making.
Capital Planning & Contracts
Lead the capital planning process for plant and equipment investments, ensuring ROI and alignment with strategic priorities.
Review, assess, and manage financial implications of vendor and supply contracts, including lease agreements, service contracts, and capital expenditures.
Partner with Legal and Operations teams to mitigate risk in contracts, litigation, and compliance matters
Leadership & Collaboration
Lead and mentor a team of plant accounting and finance professionals, fostering a culture of accuracy, accountability, and continuous improvement.
Partner cross-functionally with Operations, Supply Chain, Marketing, HR, and Corporate Finance to ensure financial alignment with ProCaps' mission and strategic goals.
Serve as a trusted advisor to senior leadership on financial and operational matters
Requirements
MINIMUM JOB QUALIFICATIONS
Bachelor's degree in Accounting, Finance, or Business Administration (required)
Minimum 10+ years of progressive finance/accounting experience, including at least 5 years in a manufacturing environment with supervisory responsibilities.
Strong understanding of manufacturing cost accounting, GAAP compliance, and FP&A processes.
Proven experience with capital planning, financial modeling, and operational performance analysis.
Proficiency in ERP systems (e.g., SAP, Microsoft Office Dynamics, Power BI).
Excellent analytical, communication, and leadership skills - with the ability to influence non-financial stakeholders.
Benefits
WHAT WE OFFER
ProCaps provides :
A competitive salary!
Top-Tier Medical, Dental & Vision Coverage - $0 when you qualify for the Wellness Program!
Paid Time Off, Eight (8) Company Holidays
401(k) with Company Match - up to 4.5%
100% Company Life Coverage
100% Short Term Disability Coverage
Gym Membership Reimbursement
Vitamin Allowance + Discounts
Company-Funded Health Savings Account ($1,600/year)
Cash Reward Employee Referral Program
Pet Insurance
Fantastic work environment that focuses on Safety, Quality, Community, and amazing people. We hire top talent and celebrate the ingenuity and tenacity of our team members and leaders!
$100k-136k yearly est. 28d ago
Financial Controller
Landry's
Finance leader job in Las Vegas, NV
Overview It is the responsibility of the Financial Controller to oversee and administer all aspects and functionality of the General Ledger, Accounts Payable, Accounts Receivable and Payroll departments. In addition, the Financial Controller compiles and maintains all financial accounting information. This position must also exhibit a high level of professional and personalized guest service that embodies the Company's brand standard and core values (K.E.E.P. - Kindness, Engagement, Empathy and Positivity). Responsibilities Oversee and provide support to Accounts Payable, Accounts Receivable, General Ledger, and Payroll departments. Manage and direct the month-end closing of the accounting records. Review supporting documentation for balance sheet accounts. Produce internal financial statements for management. Review tax returns submitted to governmental agencies. Respond to questions and requests from Internal/External Auditors and other regulatory agencies. Review and sign checks as requested. Participate in the annual budgeting process. Perform other duties and responsibilities as required. SUPERVISORY RESPONSIBILITIES: Accounting Manager Accounts Payable Manager Accounts Receivable Manager Payroll Manager Qualifications To perform this job successfully, an individual must be able to perform the duties and responsibilities satisfactorily. The requirements listed below are representative of the knowledge, skill, and/or ability required. Ability to manage employees, training and coaching skills with evidence of developing exceptionally motivated teams. Excellent analytical, problem solving, administrative, multi-tasking, organization and prioritization skills. Excellent interpersonal and communication skills (verbal and written), fluent English. Strong knowledge of accounting and applying GAAP. Ability to work efficiently, independently, cohesively, and consistently producing quality results. Computer literate in Microsoft Windows and Excel applications. Prior knowledge of financial accounting systems, Oracle preferred. Prior knowledge of purchasing systems, SWS preferred. Bachelor's degree in Accounting or related degree preferred. 5-10 years progressive experience, including holding managerial roles, in the Accounting field. Must possess basic mathematical skills to include ability to add, subtract, multiply and divide specific to position responsibilities. Ability to read and understand all policies and procedures. Must be able to communicate effectively with guests, employees, and members of management in English, specific to position duties and responsibilities. Must be able to complete standard forms and reports. Disclaimer: The above information is intended as a high-level overview of the responsibilities and qualifications for the position and does not represent the full which will include all responsibilities, skills, duties, requirements, and working conditions associated with the job. For more information or to see the full , contact the Human Resources department at the location in which you are applying. Tipped Position This position does not earn tips
To perform this job successfully, an individual must be able to perform the duties and responsibilities satisfactorily. The requirements listed below are representative of the knowledge, skill, and/or ability required. Ability to manage employees, training and coaching skills with evidence of developing exceptionally motivated teams. Excellent analytical, problem solving, administrative, multi-tasking, organization and prioritization skills. Excellent interpersonal and communication skills (verbal and written), fluent English. Strong knowledge of accounting and applying GAAP. Ability to work efficiently, independently, cohesively, and consistently producing quality results. Computer literate in Microsoft Windows and Excel applications. Prior knowledge of financial accounting systems, Oracle preferred. Prior knowledge of purchasing systems, SWS preferred. Bachelor's degree in Accounting or related degree preferred. 5-10 years progressive experience, including holding managerial roles, in the Accounting field. Must possess basic mathematical skills to include ability to add, subtract, multiply and divide specific to position responsibilities. Ability to read and understand all policies and procedures. Must be able to communicate effectively with guests, employees, and members of management in English, specific to position duties and responsibilities. Must be able to complete standard forms and reports. Disclaimer: The above information is intended as a high-level overview of the responsibilities and qualifications for the position and does not represent the full which will include all responsibilities, skills, duties, requirements, and working conditions associated with the job. For more information or to see the full job description, contact the Human Resources department at the location in which you are applying.
$83k-128k yearly est. 17d ago
Director of Financial Planning and Analysis
Playags
Finance leader job in Las Vegas, NV
The Director of Financial Planning & Analysis leads the Company's FP&A function and is responsible for driving the planning cadence, management reporting, and decision support that enables leaders to deliver profitable growth. This role owns the Company's budgeting, forecasting, and long-range planning processes and provides timely, accurate, and actionable analysis across all business segments.
This position partners closely with Sales leadership, Gaming Operations, and corporate functional leaders to understand business drivers, manage operating expenses, and communicate performance clearly. This leader also maintains a strong working relationship with Accounting to ensure financial information is captured accurately, forecasting and reporting tie to the general ledger, and data/process improvements are implemented to increase speed, accuracy, and insight.
This role is hands-on and requires both strategic thinking and strong execution under deadlines (budget/forecast cycles, month-end performance, and ad hoc executive leadership requests). The position operates in a fast-moving environment and requires the ability to shift priorities and adjust focus quickly as business needs evolve, while maintaining accuracy, clarity, and alignment with stakeholders.
Responsibilities:
Planning & Forecasting Ownership
* Lead annual budget, rolling forecast/reforecast cycles, and long-range planning; ensure consistent assumptions, documented drivers, and clear timelines.
* Deliver scenario and sensitivity analysis (including sale vs. lease economics, volume/mix, margin, and OPEX impacts).
Performance Reporting & Executive Insights
* Own monthly performance reporting and KPI/variance analysis (Budget/Forecast/Prior Year) with clear narratives, risks, opportunities, and recommended actions.
* Produce ad hoc analyses that support timely leadership decisions.
Commercial & Operational Business Partnership
* Partner with Sales on drivers most impactful to the P&L (commercial performance, deal economics, revenue/margin analysis).
* Partner with Gaming Operations in a dynamic environment to support short-cycle decisions and performance improvement.
* Support operating expense planning and management with department owners; identify trends, gaps, and cost efficiency actions.
CAPEX Reporting & Investment Analytics
* Own CAPEX tracking, reporting, and forecast updates; explain variances to Budget/Forecast and support prioritization discussions.
* Provide ROI/payback and investment analyses for capital projects (supports decision-making; does not approve CAPEX).
Close Partnership & Data Integrity
* Work closely with Accounting to ensure FP&A outputs tie to the GL and that underlying processes capture data accurately.
* Identify process/data issues (coding, accrual visibility, mapping, timing) and drive fixes that improve accuracy and speed.
Tools, Process Improvement & Team Leadership
* Improve FP&A models, reporting automation, and analytics using Dynamics BC, Adaptive, and SQL.
* Lead, coach, and develop the FP&A team; set a strong operating rhythm and high standards for quality and responsiveness.
Board & Lender Reporting Support
* Provide financial analyses, exhibits, and supporting materials for the Board of Directors' meetings and lender reporting packages
Perform other job-related duties as requested.
Skills/Requirements
* Bachelor's degree in business or equivalent required.
* 7+ years in financial reporting and analysis with progressively responsible experience in financial role and management.
* Demonstrable track record of working with and servicing internal stakeholders.
* Strong communication and presentation skills.
* Ability to be proactive, handle multiple responsibilities, meet deadlines, and work under pressure.
* Proven leadership and professional development skills with the ability to train and develop subordinates with a sense of commitment and community.
* Ability to be flexible to a changing environment, acknowledging urgency when necessary.
* Exercise good judgement and discretion in confidential matters.
* Ability to demonstrate ethical conduct and decision-making skills.
* Team oriented professional with a "roll-up his/her sleeves" attitude, who supports and promotes a team effort and celebrates team successes.
* Knowledge of financial accounting principles.
* Costing and manufacturing knowledge preferred.
* MS Office Suite: Excel, Word, PowerPoint, Access, Outlook.
* Advanced knowledge of Excel functions and abilities.
* Working knowledge of SQL and relational databases.
* Experience with MS Dynamics desirable.
* Experience with enterprise reporting software.
Note: All offers are contingent upon successful completion of a background check
* Posted positions are not open to third party recruiters and unsolicited resume submissions will be considered free referrals.
AGS is an equal opportunity employer.
$86k-136k yearly est. Auto-Apply 6d ago
Director, Finance - Product Technology
Aristocrat Leisure Ltd.
Finance leader job in Las Vegas, NV
At Aristocrat, we are on a mission to transform the future of gaming through world-class technology and innovation. As a leading name in the industry, we invest heavily in our development and build (D&B) to compose products that delight millions of players globally. With the highest prioritization priority, our AUD$1bn annual investment in D&B reflects our dedication to excellence and growth.
Step into the Finance Director - Product Technology position and help drive our transformational journey. This outstanding role involves working alongside the Chief Technology Officer and their team to optimize global D&D technology investments. You will boost efficiency and link consumers throughout our diverse business segments. Reporting to the VP Finance, Product Technology, you will manage a team of highly capable professionals to accomplish our goals!
What You'll Do
* Collaborate with the Chief Technology Officer and their direct reports to help the business improve global Technology portfolio spending. Provide insights based on data and assist with capital allocation choices.
* Facilitate and support investment decision-making processes for global Technology spend, developing arguments in line with Aristocrat investment frameworks.
* Lead the FP&A team supporting Technology spend, ensuring financial risks and opportunities are identified and managed across all reporting cycles.
* Prepare the Technology global annual budget, 5-year long range plan, and reforecasts, with a focus on headcount decisions and collaboration with P&C.
* Facilitate projects with the extended D&D finance team, crafting processes for allocating existing spend to specific programs of work.
* Produce executive-level analysis on return on investments, monitoring spend patterns over time.
* Support and drive personal and professional development of the team, ensuring excellence in execution and strong business partnerships.
* Collaborate with the Finance enterprise reporting center of excellence to simplify and standardize financial reporting for the D&D function.
* Collaborate with Indirect Procurement to establish robust analysis of all software and technology support contracts.
What We're Looking For
* Bachelor's degree in business, finance, or a related field, or equivalent experience (MBA and/or CPA preferred).
* Excellent interpersonal and relationship-building skills, with the ability to engage and influence collaborators at all levels.
* Thrives in a fast-paced global organization, effectively managing multiple projects and priorities.
* Energized by building and managing collaborator relationships across global locations.
* Collaborative people leader with effective delegation abilities.
* Excellent communication (written and verbal) and influencing skills.
* Familiarity with the technology industry and an understanding of technology trends and challenges.
* Flexibility to work with internal and external collaborators in various global time zones, with some travel required.
Why Aristocrat?
Aristocrat is a world leader in gaming content and technology, and a top-tier publisher of free-to-play mobile games. We deliver great performance for our B2B customers and bring joy to the lives of the millions of people who love to play our casino and mobile games. And while we focus on fun, we never forget our responsibilities. We strive to lead the way in responsible gameplay, and to lift the bar in company governance, employee wellbeing and sustainability. We're a diverse business united by shared values and an inspiring mission to bring joy to life through the power of play.
We aim to create an environment where individual differences are valued, and all employees have the opportunity to realize their potential. We welcome and encourage applications from all people regardless of age, gender, race, ethnicity, cultural background, disability status or LGBTQ+ identity. EEO M/F/D/V
* World Leader in Gaming Entertainment
* Robust benefits package
* Global career opportunities
Our Values
* All about the Player
* Talent Unleashed
* Collective Brilliance
* Good Business Good Citizen
Travel Expectations
Up to 25%
Pay Range
$170,195 - $316,076 per year
Our goal is to pay a market competitive salary focusing near the median of our pay ranges. However, final offers for all positions will be based on several factors such as experience level, education, skills, work location, and internal pay equity.
This position offers a comprehensive benefits package, including health, dental, and vision insurance, paid time off, and a 401(k) plan with employer matching, more details available at *************************
Additional Information
This role is subject to mandatory background screening and regulatory approvals. As part of your employment with Aristocrat, you may be required to complete a criminal background check, submit fingerprints, and obtain licenses or registrations with applicable gaming regulatory authorities.
Aristocrat operates in a highly regulated environment and holds licenses in over 340 gaming jurisdictions worldwide. To meet our global compliance obligations, you will be required to provide the disclosure of relevant personal and background information to government agencies, sovereign nations/tribal regulators, and other applicable gaming regulatory bodies. This is a condition of Aristocrat's gaming licenses. The specific information required may vary depending on the jurisdiction and project assignment.
At this time, we are unable to sponsor work visas for this position. Candidates must be authorized to work in the job posting location for this position on a full-time basis without the need for current or future visa sponsorship.
$86k-136k yearly est. Auto-Apply 54d ago
Resorts Operations Financial Analyst
Description This
Finance leader job in Las Vegas, NV
HGV Now Offers Benefits on Day One and Daily Pay!*
Recognition Programs and Rewards
Discounted Hilton hotel rates worldwide
401(k) program with company match.
Employee stock purchase program.
Paid Holidays, Sick days and Generous Paid Time Off Program
Tuition reimbursement.
Numerous learning and career advancement opportunities.
What will I be doing?
Create statistical and financial modeling.
Perform ad hoc financial analysis as needed.
Reviews financial data and provides recommendations to management in order to maximize operational efficiency and financial returns.
Work on special projects, initiatives, and day-to-day activities
Assists in the development and improvement of financial reporting tools.
Monthly financial reporting.
What are we looking for?
Hilton Grand Vacations is a leader in the vacation ownership industry, operating with an unwavering dedication to innovation, quality, and continued growth. At the core of our company's success are our Team Members. To fulfill this role optimally, you must possess the following minimum qualifications and experience:
Bachelor's degree in Finance, Accounting or a related field
2-4 years of experience in business support, analytics, and data visualization
Proficient in Hyperion/Smartview required, Excel, and the ability to transform data into insights
Solid Descriptive Statistics
High level of business knowledge and ability to understand and communicate in common business language
Demonstrated ability to communicate with senior leadership on a consistent basis
Preferred Qualifications
Timeshare experience related to Resort Operations and Club is a plus.
HGV was awarded four out of five stars for fostering a culture of work-life balance and family-friendly benefits, and is one of Newsweek's "America's Greatest Workplaces for Parents & Families." Over the past 30 years, the highest honor we've received is the continued loyalty of our Owners, Members and Guests. We've also earned accolades for the remarkable work of our dedicated Team Members throughout our resorts, call centers and corporate offices.
*Eligibility: All U.S. hourly Team Members not represented by a labor organization or subject to collective bargaining agreement.
We are an equal opportunity employer and value diversity at our company. We do not discriminate on the basis of race, religion, color, national origin, gender, sexual orientation, age, marital status, veteran status, or disability status.
We will ensure that individuals with disabilities are provided accommodation to participate in the job application or interview process, to perform crucial job functions, and to receive other benefits and privileges of employment. Please contact us to request accommodation
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$51k-91k yearly est. Auto-Apply 39d ago
Finance Manager
Findlay Honda Henderson
Finance leader job in Henderson, NV
Findlay is one of the largest & fastest growing automotive groups in Southwest U.S. We're seeking top talent to help grow our business and keep up with the high demand.
Our organization enjoys meeting new challenges every day. We are dedicated to addressing the wants, needs and requirements of today's consumer. We pride ourselves on our commitment to the customer, as well as the communities we serve. We have deep roots in each of our markets and our employees are an extension of our core values every day.
We are seeking a customer-oriented and results driven Finance Manager. Currently in automotive sales and ready to make the move to F&I Manager? We're ready to reward you with an awesome pay plan, competitive bonuses and a great work environment!
Candidates with direct experience working as a Finance Manager are encouraged to apply.
Benefits:
Great working environment
Paid Training
Generous incentive and bonus programs
Paid Vacations
Medical
Dental and Vision insurance
401K
Responsibilities:
Manage and generate income by leading a team of finance managers
Develop a comprehensive menu selling process to help maximize the finance department's overall profitability and product penetration
Ensure that every eligible deal is eContracted
Rehash all deals
Track portfolio with lenders
Review and inspect the flow of the department's paperwork on a daily basis to insure a timely turn around on all deals, as well as the accuracy of all documents produced in the department.
Demonstrate complete commitment to supporting the sales department in achieving its goals while also looking out for the dealerships best interests as a whole
Make sure the finance department is properly staffed
Establish a weekly training schedule for finance managers
Qualifications:
Minimum high school diploma or GED equivalent required
Prior automotive experience preferred
Excellent communication and customer service skills
Professional appearance and work ethic
Self-motivated, goal oriented, and ability to work within a fast paced environment
Current, valid driver's license and satisfactory Motor Vehicle Report (MVR)
Knowledge of ADP/CDK DMS system
$74k-106k yearly est. Auto-Apply 5d ago
Financial Analyst
Progressive Force Concepts 3.8
Finance leader job in Las Vegas, NV
Financial Analyst
Status/Hours: Full Time, Salaried Exempt W2 Employee
Based In: HQ/Las Vegas, NV
The Financial Analyst plays a critical role in supporting the financial planning, analysis and strategic decision-making processes across the PFC Group of Companies. This position is responsible for developing robust financial models, conducting in-depth performance analysis, producing forecasts and contributing to the preparation of budgets across multiple departments and business units.
Working closely with colleagues in finance, operations and executive leadership, the Financial Analyst will help drive data-informed decisions that support the company's growth objectives. This role requires a highly analytical mindset, a strong command of financial concepts and the ability to work with large and complex data sets in a dynamic, fast-paced corporate environment.
The ideal candidate is detail-oriented, collaborative and intellectually curious - capable of distilling financial insights that drive actionable business strategies.
Essential Functions:
Prepare monthly, quarterly and annual financial reports, dashboards and variance analysis within a KPI-driven business environment.
Lead or support the development, consolidation and management of company budgets, forecasts and long-range financial plans.
Analyze financial performance by comparing actual results against budgets, forecasts and historical trends to identify variances and key drivers.
Collaborate with business unit leaders to uncover cost-saving opportunities, enhance operational efficiency and support financial decision-making.
Build and maintain complex financial models to support scenario planning, investment analysis and strategic initiatives.
Track and analyze revenue performance and profitability across client accounts, service lines and business segments.
Conduct labor cost, productivity and utilization analysis for both field operations and corporate staff.
Monitor key performance indicators (KPIs) and operational metrics that influence financial outcomes.
Prepare high-quality financial reports and executive presentations for senior leadership and stakeholders.
Support pricing strategy development, contract reviews and margin optimization efforts.
Assist in the coordination of financial audits, tax filings and compliance reporting requirements.
Uphold the accuracy, consistency and integrity of financial data across systems including NetSuite, Paycom and HubSpot.
Qualifications
Minimum Qualifications:
Bachelor's degree in Finance, Accounting, Economics or a related field
2-5 years of progressive experience in corporate finance, financial planning and analysis (FP&A) or a related discipline.
Advanced proficiency in Microsoft Excel, including pivot tables, lookups and financial modeling techniques.
Experience working with ERP systems (NetSuite strongly preferred) and familiarity with CRM platforms (HubSpot is a plus).
Solid understanding of financial statements, accounting principles and GAAP standards.
Exceptional analytical and problem-solving skills, with strong organizational capabilities.
Proven ability to interpret and synthesize large datasets into clear, actionable insights.
Effective verbal and written communication skills, with the ability to present financial information to diverse audiences.
High level of accuracy, attention to detail and demonstrated professional integrity.
Competencies:
Expertise in financial modeling and scenario planning to support strategic decision making.
Proficiency in budgeting, forecasting and variance analysis across business units.
Strong capability in business performance analytics with a focus on KPI tracking and insights generation.
Skilled in report design and data visualization to effectively communicate financial information.
Ability to communicate and collaborate effectively across cross-functional teams and leadership levels.
Demonstrated discretion and sound judgment in managing sensitive and confidential information.
Self-motivated with a strong sense of initiative, dependability and consistent follow-through on assignments.
Physical Demands & Tools/Equipment:
Prolonged periods of sitting at a desk while working with LED screens, laptops and other standard office equipment.
Requires the ability to listen attentively, see clearly and communicate effectively in a variety of settings.
Ability to climb stairs.
The ability to travel occasionally to various company and/or client sites to support finance operations.
Compensation and Benefits:
Competitive pay (based on qualifications)
Hybrid schedule may be available
Medical, dental, vision, disability, and life insurance
401(k) plan with generous company match
Paid time off, paid sick leave, and paid parental leave.
Employee Assistance Program (for unforeseen life events and hardships)
Opportunities for advancement and career growth
$55k-90k yearly est. 16d ago
Director, Financial Analyst - FP&A
Andmore Careers
Finance leader job in Las Vegas, NV
What You'll Do
ANDMORE is seeking a key Financial Analyst who will serve as a key contributor to the FP&A team, providing critical financial analysis and modeling support that drives strategic decision-making and value creation initiatives. You will work directly with senior leadership to develop sophisticated financial models, perform complex variance analysis, and support high-stakes transactions and strategic projects. This role offers exceptional exposure to the full spectrum of corporate finance functions in a fast-paced, growth-oriented environment where your analytical rigor and modeling expertise will directly impact business outcomes and enterprise value creation.
Responsibilities
Financial Modeling & Analysis
Build and maintain complex financial models for budgeting, forecasting, scenario planning, and strategic initiatives
Create sensitivity analyses and scenario models to support strategic decision-making and risk assessment
Perform variance analysis and prepare detailed commentary explaining performance drivers and trends
Strategic Planning & Business Support
Lead annual budget process coordination and quarterly reforecasting activities across business units
Support business development initiatives with financial modeling, due diligence, and valuation analysis
Prepare board presentation materials, executive dashboards, and investor reporting packages
Conduct market research and competitive analysis to inform strategic planning and investment decisions
Operational Excellence
Partner with business unit leaders to analyze performance metrics, identify optimization opportunities, and track KPIs
Support monthly close process with journal entries, account reconciliations, and financial reporting
Develop and maintain automated reporting solutions and process improvements to enhance efficiency
Assist with special projects including system implementations, process improvements, and ad-hoc analysis
Experience with enterprise planning tools such as Anaplan, including building models, dashboards, and reports to support budgeting and forecasting
Assist in evaluating and implementing new financial systems and tools to improve reporting efficiency and analytical capabilities
Cross-Functional Business Support
Serve as a financial partner to leaders across Marketing, Events, HR, IT, Sales, and Operations
Help drive financial planning efforts for compensation, capital projects, event performance, and corporate initiatives
Ensure alignment between departmental priorities and enterprise-wide financial goals
Candidate Profile
We're seeking a high-performing analyst who has excelled in a demanding environment and is ready to take the next step in their career while contributing to meaningful value-creation initiatives in a PE-backed growth organization.
Analytical rigor with ability to synthesize complex data into actionable insights and recommendations
Communication skills to present complex financial concepts clearly to both technical and non-technical audiences
Project management capabilities to handle multiple priorities and meet tight deadlines consistently
Business acumen to understand industry dynamics, competitive positioning, and value drivers
Intellectual curiosity and proactive approach to identifying opportunities and solving problems
Qualifications
Bachelor's degree in Finance, Economics, Accounting, or related quantitative field
Experience with ERP systems (NetSuite, SAP, Oracle) and BI/budgeting tools (Tableau, Power BI) preferred
Financial modeling certifications or advanced Excel training a plus
3 to 4 years experience in investment banking, private equity, corporate development, or a high-performing FP&A role
Proven track record in a demanding, fast-paced environment where attention to detail and accuracy under pressure are critical
Experience working with PE sponsors or understanding of PE value creation methodologies preferred
CFA Level I/II progress or MBA preferred but not required
Advanced Excel proficiency, including complex formulas, pivot tables, macros, and sophisticated modeling techniques
Valuation experience using multiple methodologies (DCF, comparable company analysis, precedent transactions)
PowerPoint proficiency for creating executive-level presentations and investment materials
Why you'll love working at ANDMORE
Our Team Members are our most critical asset. The foundation for our success is built on teamwork, talent, creativity, hard work, and dedication. Together, we truly have a transformational opportunity to positively impact the industries in which we work. We are pleased to offer a wide array of comprehensive benefit programs and services that you would expect to see at a great company like ANDMORE including competitive medical, dental, vision, EAP, FSA, and 401k Retirement Match to name just a few. There are also a few differentiators like unlimited PTO, paid parental leave, BYOD (cell phone compensation), tuition reimbursement,
Workplace Rewards
providing discounts to a wide variety of consumer products and services, a “seed” grant of at least $750 annually into your Value HSA Plan, and considerably more!
Diversity creates a healthier atmosphere: ANDMORE is an Equal Employment Opportunity/Affirmative Action employer, and all qualified applicants will receive consideration for employment without regard to race, color, religion, sex, age, national origin, protected veteran status, disability status, sexual orientation, gender identity or expression, marital status, genetic information, or any other characteristic protected by law.
About ANDMORE
ANDMORE is an omnichannel wholesale market maker that fuels opportunities for wholesale buyers and sellers to connect, grow and prosper through physical markets, design centers, and digital channels.
We are unique in that we own and operate the largest wholesale showroom buildings in the world where retailers and designers come to purchase products for their stores or clients - like a shopping mall for wholesalers. We also recognize that purchasing happens all year long, not just during market weeks, so we provide digital opportunities for buyers and sellers to connect anytime, anywhere as customer needs dictate.
ANDMORE is a Blackstone and Fireside Investments portfolio company. For more information, visit www.ANDMORE.com.
$54k-82k yearly est. 60d+ ago
Senior Financial Analyst
Whsmith North America
Finance leader job in Las Vegas, NV
We are seeking a Senior Financial Analyst to join our Commercial FP&A team and support the growth and profitability of our travel retail operations. This position will work directly with leadership of the Commercial team and be responsible for a wide array of financial, strategic, and operational analysis, with a particular focus on budgeting and planning merchandise sales and gross margin. This position will also play a key role in creating financial projections and developing business cases for new commercial initiatives.
Partner with commercial leaders to develop and maintain financial models for revenue and margin forecasting across multiple business segments.
Support the annual budgeting and monthly forecasting processes, ensuring accuracy and alignment with strategic goals.
Prepare and analyze weekly sales performance reports, providing commercial leadership with insights into key drivers to variances vs plan.
Provide ad hoc analysis and decision support on key initiatives.
Develop dashboards and KPIs that measure commercial effectiveness and identify opportunities for improvement.
Participate in the identifying and measuring of initiatives to help drive top line growth and/or margin expansion.
Qualifications:
Bachelor's degree in finance, economics, accounting, or a related field. MBA a plus
3+ years' work experience including financial and/or operational analysis, preferably in a retail company
Experience with financial budgeting
Strong technical, analytical, and problem-solving skills
Advanced understanding and working knowledge of budgeting, forecasting, and analysis
Strong communication and collaboration skills
Strong Excel skills and experience with EPM tools
Must be a self-starter and willing to work in a fast paced, high growth environment
Must be comfortable interacting with and presenting to executives and senior leadership
Benefits:
Medical, Dental & Vision Insurance
Short & Long Term Disability Insurance
Flex Time Off Policy
401k with company match
Huge Employee Discount at all our stores, so check us out
Amazing training & career path
Competitive pay!
And more!
$68k-93k yearly est. 2d ago
Treasury Manager
Tensorwave
Finance leader job in Las Vegas, NV
Our mission at Tensorwave Cloud is to build seamless, secure, reliable, and resilient AI infrastructure at scale, eliminating barriers and challenging the status quo to empower builders and support AI innovation.
About the role
We are seeking a Treasury Manager, reporting to the EVP of Finance, responsible for owning the company's liquidity strategy, debt management, treasury operations, and cash flow oversight, particularly for Special Purpose Vehicles (SPVs).
The Treasury Manager will be key to supporting our capital-intensive growth by ensuring robust liquidity, maintaining strict lender compliance, and optimizing the capital structure.
This manager will collaborate closely with FP&A, Accounting, Legal, Procurement, and Supply Chain to provide accurate, forward-looking visibility into cash needs and manage large-scale capital deployments.
This position is an excellent fit for a professional with a strong background in treasury, corporate banking, leveraged finance, credit analysis, or capital markets who is eager to build and drive the treasury function in a fast-growing, complex operational environment.
Responsibilities
Establish and execute a corporate investment framework to optimize yield on surplus cash while preserving capital and managing counterparty risk
Own cash positioning and liquidity forecasting, including daily operations, a 13-week cash forecast, and long-term liquidity modeling across corporate entities and SPVs
Monitor and plan cash requirements for capital projects, vendor payments, SPV obligations, and operating expenses
Optimize working capital, internal transfers, and cash movement across entities
Maintain strong internal controls over cash, including banking access, approvals, and disbursements
Manage debt schedules and lender compliance, including interest, amortization, maturities, and covenant tracking
Prepare and deliver timely covenant and lender reporting, and support refinancing or new credit facilities
Oversee SPV-level cash flows, including capital contributions, distributions, interest payments, and scenario analysis
Partner with FP&A and Accounting on forecasting, reporting, eliminations, and liquidity planning
Serve as the primary relationship owner for banks, lenders, and financing partners
Manage banking infrastructure, including portals, signatories, and KYC/AML documentation
Support month-end close activities related to cash reconciliations and SPV entries
Drive treasury process improvement, documentation, and controls, including tooling and ERP integrations (NetSuite preferred)
Collaborate cross-functionally with Legal, Procurement, and Supply Chain to align financing, compliance, and capital outflows
Required Experience
Bachelor's degree in Finance, Accounting, Economics, Business Administration, or a related quantitative field
7+ years of experience in a relevant field: corporate treasury, investment banking, corporate banking, leveraged finance, credit analysis, or capital markets
Proven expertise in capital structures, debt mechanics, covenants, and developing comprehensive liquidity plans
Experience with complex multi-entity structures, SPVs, or project-finance-style cash flow modeling
Advanced proficiency in Excel/Google Sheets, specifically for building robust cash flow and debt models
Familiarity with banking platforms, treasury workstations, and ERP systems (NetSuite preferred)
Exceptional attention to detail, strong problem-solving capabilities, and the ability to manage multiple competing priorities
We're looking for resilient, adaptable people to join our team-folks who enjoy collaborating and tackling tough challenges. We're all about offering real opportunities for growth, letting you dive into complex problems and make a meaningful impact through creative solutions. If you're a driven contributor, we encourage you to explore opportunities to make an impact at TensorWave. Join us as we redefine the possibilities of intelligent computing.
What We Bring
Mission driven company
Competitive Salary
Stock Options
100% paid Medical, Dental, and Vision insurance
Flexible PTO
Paid Holidays
401(k)
Parental Leave
Flexible Spending Account
Short Term Disability Insurance
Life and Voluntary Supplemental Insurance
Mental Health Benefits through Spring Health
We're looking for resilient, adaptable people to join our team, people who believe in the mission and think at massive scale. The solutions that worked on a handful of devices will not work at Exascale. Be prepared to be pushed daily, to learn a lot, and literally build the future.
Tensorwave is an equal opportunity employer, committed to fostering an inclusive and supportive workplace. All qualified applicants and candidates will receive consideration for employment without regard to race, color, religion, sex, disability, age, national origin, or veteran status.
$88k-128k yearly est. Auto-Apply 35d ago
Head of Financial Control
Astound Group LLC 4.2
Finance leader job in Las Vegas, NV
WHO WE ARE…
ASTOUND is a global experiential powerhouse with three core verticals: Brand Experiences, Sports Experiences, and Immersive Entertainment. From trade shows and large-scale events to experience centers and IP-driven attractions, we create programs that combine creative excellence, operational discipline, and ROI-focused outcomes.
With over 200 employees, a 350,000 sq. ft. production facility, and execution in more than 40 countries, ASTOUND is defining what the modern experiential partner looks like. Now, in our 25th year, we are expanding into a growth engine for our clients-powered by AI, integrated creative, and next-gen content strategy-and for the business itself, driving both revenue and enterprise value.
JOB SUMMARY:
The Controller - Facility Head of Finance Manages and oversees all operating functions of the business unit. Directs and coordinates all activities relating to project costs, cost accounting, planning, cash management, contract review & compliance requirements, and risk management. This position will also be responsible for the monthly reporting of the business's results, project profitability, and variance analysis.
In addition, this role will partner with Business unit management to achieve profitability targets and KPIs. This position reports to our CFO.
KEY RESPONSIBILITES:
Performs project monitoring and data collection to determine profitability and whether a project is progressing according to budget. This includes conducting project audits, managing project schedules, and overseeing regulatory compliance issues
Oversees project revenues and expenditures to verify that projects are completed on time and within budgetary guidelines.
Works closely with Facility management to ensure that all budgeting, expense tracking, and monthly reporting are performed regularly.
Managed cost capitalization and revenue recognition for the facility
Oversees project billing and collections, verifies and reviews contract documentation
Monitors progress of all projects to ensure that it is working within the confines of set deadlines and budget limitations and generate progress reports to managers.
Directs and assists the company in attaining established financial goals.
Monitor Project Activities, oversee budgeting and scheduling, generate periodic reports and reviews with management
Monitor the overall financial health using established metrics, project status, analyzes labor expenses, allocation of labor and material, variances, and degree of completion.
Prepare project profitability analysis, consolidates project information, and prepare financial statements promptly.
Manages cost accounting, budgetary, and data processing functions using established policies and procedures.
Check expenditure requests against approved budgets. Performs ROI and DCF analysis.
Obtain, analyze, and consolidate required accounting information; prepare project reports, statements, and financial recommendations.
Ensure effective accounting, financial forecasting, analysis, financial systems, cash flow, and compliance.
Develop policies and supervise the control of cash, accounts receivable credits and collections, and accounts payable.
Maintain constant awareness of the project level and the company's financial position and act proactively to prevent problems.
Ensure adherence to GAAP.
Assist in establishing short and long-range departmental goals, objectives, policies, and operating procedures.
Facilitates implementation of new systems and major modifications of existing systems to reduce downtime.
Complete special projects as required for the Finance department.
Ability to recognize which areas of project development need to be re-addressed to maintain efficiency and cost control.
Present ideas to project managers and assume the responsibility of implementing and managing these changes in the project management cycle.
QUALIFICATIONS:
4-year college degree in accounting, from an accredited institution, and/or equivalent work experience in a similar role.
5 years prior experience in Project Accounting, Financial Accounting, Accounts Payable, and Fixed Asset Accounting.
MBA a plus
Certified Public Accountant a plus!
Previous experience leading in relevant industries (brand/experiential, construction, agency) is a plus!
Excellent knowledge of Microsoft Office programs (i.e., Excel, Word, PowerPoint, and Outlook) and project cost management applications
Experience working with ERP implementation and roll-out
Experience with project costing and project management is a plus
Excellent communication skills (i.e., oral and written)
Strong analytical and problem-solving skills
Excellent organizational skills and attention to detail
Strong supervisory and leadership skills
THE VALUES YOU ALIGN WITH:
Just as important as the skills you bring to our team, is alignment with our values. This means that as a collective we will collaborate with the same mindset to deliver incredible, market leading experiences for our clients.
Steadfast Courage - We fearlessly take on challenges and make bold decisions to achieve remarkable results.
Unwavering Integrity - We hold ourselves to the highest ethical standards and prioritize honesty, transparency, and professionalism.
Boundless Creativity - We push boundaries with innovative, collaborative ideas that surpass expectations and create unforgettable experiences.
Unparalleled Service - We fearlessly take on challenges and make bold decisions to achieve remarkable results.
Insatiable Curiosity - We never stop learning, exploring, and taking risks to create breakthrough experiences.
Constant Collaboration - We thrive on teamwork, leverage diverse perspectives, and support each other to deliver experiences greater than the sum of their parts.
BENEFITS AND COMPENSATION:
The compensation package will be commensurate with experience. Our employees are entitled to a standard set of benefits, including health and dental insurance and 401(k) with company match.
Excellent Medical Insurance
Excellent Dental Insurance
Excellent Vision Insurance
Paid Time Off, Holiday Pay
401K matching program after 90 days of employment
100% Company Life and Long-Term Disability Coverage
Employee Referral Program
DIVERSITY COMMITMENT:
We are proud to be an equal opportunity employer, and we welcome talented individuals from all backgrounds to apply. Our goal is to ensure that every candidate is evaluated solely on their qualifications, merits, and potential to contribute meaningfully to our team and mission.
$91k-122k yearly est. Auto-Apply 60d+ ago
Financial Analyst Resort Operations
Description This
Finance leader job in Las Vegas, NV
Here's why you will love it here:
Recognition Programs and Rewards
Excellent health care options, including medical, dental, and vision
A people-first culture
Go Hilton: Travel Discounts Program Hilton hotel rates worldwide.
Perks at work: Employee Pricing platform
Employee Assistance Program that supports your physical and mental well-being.
Paid Vacation Time and Paid Sick Days
401(k) program with company match
Tuition reimbursement programs
Numerous learning and advancement opportunities
And more!
Essential Functions
· Assist in our Annual Operating and Capital Expenditure Budget, Monthly Forecasts, Monthly Financial Results, Monthly End of the Month reports, Monthly and Quarterly variance explanation for BOD and monthly reporting based on department efficiency.
· Assist Sr. Manager with preparation of ongoing budgets for new and existing properties, provide support for the Senior Management team with analysis of opportunities to streamline efficiency and improvements in profitability.
· Ad Hoc reporting and on-going support for the Finance department and Resort Operations team.
· Create new reports/templates and Excel modeling
· Special Project assignments designated by the VP and Sr. Manager of RO Business Operations
Required Qualifications
· 4 Year Bachelor's Degree in Finance, Accounting, Economics or a related field
· 2-3 Years' experience in Financial Analysis
· Advanced Microsoft Excel and PowerPoint skills
· Excellent written and oral communication skills
· Must be self-motivated and team-oriented
Preferred Qualifications
· 4-5 years of financial analysis experience
· Experience using Oracle financial or similar accounting software
· Knowledge of Hyperion Planning Systems
· Advanced knowledge of Microsoft Excel including Macros
HGV was awarded four out of five stars for fostering a culture of work-life balance and family-friendly benefits, and is one of Newsweek's "America's Greatest Workplaces for Parents & Families." Over the past 30 years, the highest honor we've received is the continued loyalty of our Owners, Members and Guests. We've also earned accolades for the remarkable work of our dedicated Team Members throughout our resorts, call centers and corporate offices.
*Eligibility: All U.S. hourly Team Members not represented by a labor organization or subject to collective bargaining agreement.
We are an equal opportunity employer and value diversity at our company. We do not discriminate on the basis of race, religion, color, national origin, gender, sexual orientation, age, marital status, veteran status, or disability status.
We will ensure that individuals with disabilities are provided accommodation to participate in the job application or interview process, to perform crucial job functions, and to receive other benefits and privileges of employment. Please contact us to request accommodation.
How much does a finance leader earn in North Las Vegas, NV?
The average finance leader in North Las Vegas, NV earns between $78,000 and $176,000 annually. This compares to the national average finance leader range of $78,000 to $174,000.
Average finance leader salary in North Las Vegas, NV