Join Emera Inc. as a Cash Specialist in Halifax, Nova Scotia. This role focuses on cash management and liquidity forecasting while contributing to critical treasury operations. As part of Emera’s Corporate Treasury, you will manage essential cash activities and assist in financial reporting.
The position is designed for specialists looking to deepen their expertise in cash management while driving process improvements and workflow optimizations. Collaborating closely with various teams, you will ensure effective execution of treasury tasks while adhering to governance standards. Key Responsibilities:
Oversee daily cash management and liquidity optimization
Prepare management reports for financial leadership
Execute and manage interest and debt-related payments
Administer banking services and related documentation
Champion process automation and standardization efforts Requirements:
Five years of experience in treasury or banking operations
Degree in Finance, Business, or related fields
Expertise in cash forecasting and liquidity management
Experience with treasury management systems like Kyriba
Solid relationship management and analytical skills Harness your cash management expertise to elevate treasury functions at Emera in Halifax.