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Cash Specialist

Job in Halifax, Nova Scotia, Canada
Listing for: Emera Inc
Full Time position
Listed on 2026-09-05
Job specializations:
  • Finance & Banking
    Financial Analyst, Corporate Finance, Banking Operations, Risk Manager/Analyst
Job Description & How to Apply Below
The Opportunity
Company & Department:
Emera Inc. Corporate Treasury

Location:

Halifax, Nova Scotia
Closing Date:

July 20, 2026
Emera is a leading North American provider of energy services headquartered in Halifax, Nova Scotia with $45B in total assets. Emera delivers safe, clean, and reliable energy to customers through investments in regulated electric and natural gas utilities, and related businesses and assets
We are currently looking for a Cash Specialist to join our Corporate Treasury team on a permanent basis. As Emera's Cash Specialist, you will play an important role in a complex corporate treasury environment, gaining exposure to a broad range of activities including cash management, liquidity forecasting, debt and foreign exchange transactions, banking relationships, treasury governance, and process improvement initiatives.
Reporting to the Senior Manager, Treasury, this role offers an excellent opportunity for a treasury, banking, or finance professional to broaden their expertise while contributing to the management of high value and strategically important financial transactions. If you have experience in treasury, cash management, banking operations, treasury systems, or financial services and enjoy solving problems, improving processes, and working collaboratively with others, we would like to hear from you.
Key Elements of the Role  As a key member of Emera's Corporate Treasury team, you will contribute to the management of liquidity, banking operations, treasury systems, and treasury governance activities across the organization. Working closely with the wider treasury team, you will help ensure the efficient execution of treasury activities while identifying opportunities to enhance controls, automation, reporting, and overall effectiveness.
A key aspect of this role is building and maintaining strong working relationships across the organization and with external financial institutions. The Cash Specialist will act as a liaison between treasury, business units, banking partners, and other external service providers to support treasury operations, resolve issues, and drive continuous improvement initiatives.
More specifically, in this role you will   Manage daily cash forecasting and liquidity management activities
Generate cash management reports for treasury and Finance leadership
Support month-end and year-end reporting requirement
Execute and manage debt, interest, and equity-related payments, ensuring compliance with approved schedules and controls
Manage bank account openings, closings, and documentation
Administer banking services, agreements, account access, and governance, including Delegation of Authority (DOA) requirements for debt and FX transactions.
Resolve banking access issues and other day-to-day treasury and cash management matters
Ensure adherence to SOX requirements, internal controls, and treasury governance standards
Collaborate with treasury, tax, and corporate accounting teams to optimize Kyriba utilization including cash forecasting, payment processing, and intercompany loan management
Lead and support treasury transformation initiatives, process automation, standardization, and continuous improvement projects
These skills will make you successful  As the ideal candidate you recognize yourself in most of the following competencies, and possess or are working towards the desired skills and experience listed below:
Degree in Finance, Accounting, Business Administration, or a related discipline, combined with a minimum of five (5) years of experience in cash management, treasury operations, commercial banking, or a related financial role
Professional designation (CTP, CPA, CFA) completion or progress towards a designation would be considered an asset
Experience in cash forecasting and liquidity management
Advanced proficiency Excel, including cash forecasting, financial analysis, reporting, and reconciliation activities; and a demonstrated curiosity and adaptability in using AI-assisted tools (e.g., Copilot) to improve efficiency and effectiveness
Strong knowledge of cash management principles, liquidity planning, banking services, and cash flow forecasting
Experience working with treasury management systems and ERP platforms; familiarity with Oracle and Kyriba would be considered an asset
Sound understanding of commercial banking products and services, including electronic payments, collections, account administration, and bank relationship management
Demonstrated ability to build and maintain effective relationships with banking partners, internal stakeholders, and cross-functional teams
A continuous-improvement mindset with a proven ability to identify process enhancements, streamline workflows, and improve operational efficiencies
Strong analytical, organizational, and problem-solving skills with a high degree of accuracy and attention to detail
Ability to work independently in a fast-paced environment while successfully collaborating as part of a team and adapting to changing business…
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