Join the Corporate Treasury team at Emera Inc. as a Cash Management Specialist in Halifax, Nova Scotia, focusing on liquidity forecasting and cash operations to drive financial efficiency.
This permanent position suits finance professionals seeking to enhance their skills in treasury and cash management. You will engage in vital financial transactions, banking relationships, and process improvements while building solid connections with internal and external partners, ensuring adherence to governance standards.
Key Responsibilities:
• Manage daily cash forecasting and liquidity operations
• Generate cash management reports for leadership
• Execute debt, interest, and equity payments on schedule
• Support month-end and year-end financial reporting
• Collaborate on treasury system optimization projects
Requirements:
• Degree in Finance or Accounting with 5 years’ experience
• Progress towards qualified designation (CTP, CPA, CFA)
• Advanced Excel skills for cash forecasting and analysis
• Solid understanding of banking services and cash flow
• Proven ability to build effective stakeholder relationships
Elevate your treasury expertise while contributing to Emera’s financial success.
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📌 Cash Management Specialist At Emera Inc Nova Scotia
🏢 Socket.dev
📍 Nova Scotia
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