Emera Inc. is hiring a Cash Specialist for its Corporate Treasury in Halifax, Nova Scotia. This role centers on enhancing liquidity management and cash forecasting capabilities.
In this permanent role, you will be instrumental in managing cash activities, generating essential reports, and ensuring compliance with treasury governance. Targeted at finance professionals with a proven track record, this position encourages team-oriented problem-solving and supports strategic financial initiatives across Emera's Treasury operations.
You'll also drive process improvements across essential systems and technologies.
Key Responsibilities:
- Manage daily liquidity and cash forecasting activities
- Produce comprehensive reports for treasury leadership
- Oversee compliance on debt and equity payments
- Handle bank account management and access issues
- Implement controls ensuring adherence to treasury standards
Requirements:
- Minimum five years in cash management or finance
- Relevant degree in Finance, Accounting, or Business
- Advanced Excel skills for cash forecasting and analysis
- Familiarity with treasury systems; Kyriba experience preferred
- Excellent organizational and problem-solving abilities
Utilize your treasury acumen to benefit Emera's robust financial operations in Halifax.