13 Sep
|
Emera
|
Nova Scotia
Emera Inc. seeks a Cash Specialist for its Corporate Treasury team in Halifax, Nova Scotia. This permanent role emphasizes cash management, liquidity forecasting, and treasury governance activities.
As a key member of the treasury team, you will engage in managing daily cash activities and support both month-end and year-end reporting. With a focus on compliance and operational efficiencies, you will foster collaboration with treasury, tax, and accounting teams to optimize financial practices across Emera. Your role will also encompass process improvements and automation initiatives to enhance overall treasury performance.
Key Responsibilities:
• Manage daily cash forecasting and liquidity activities
• Generate reports for treasury and finance leadership
• Execute debt and equity payment processes
• Oversee bank account management and documentation
• Ensure adherence to treasury governance standards
Requirements:
• Minimum five years in cash management or treasury operations
• Degree in Finance, Accounting, or Business Administration
• Advanced Excel proficiency for financial analysis
• Familiarity with treasury management systems, preferably Kyriba
• Solid analytical and problem-solving skills
Leverage your expertise in cash management and treasury operations to enhance Emera's financial strategies in Halifax.
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📌 Cash Specialist in Corporate Treasury (Nova Scotia)
🏢 Emera
📍 Nova Scotia