Live opening · Posted 1 day ago

Treasury Specialist

SEARADAR · Portugal (Remote)
Linkedin Yes
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At a glance

The key details from the original listing.

Posted 1 day ago
CompanySEARADAR
LocationPortugal (Remote)
Work modeYes
SourceLinkedin
Listed1 day ago

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About the role

Description supplied by the original job listing.

About Searadar
Searadar is a fast-growing international yacht charter marketplace helping travelers discover and book sailing experiences around the world. Our remote-first team spans multiple countries, and we're passionate about delivering exceptional service while building strong relationships with our clients and partners.
As we continue to grow, we're looking for a detail-oriented Treasury Specialist to join our Finance team and help ensure the accuracy, efficiency, and reliability of our day-to-day financial operations.
About the role
We are looking for a hands-on Treasury Specialist to join the Finance team at Searadar, a yacht charter tech company. This role owns the company's cash position end-to-end, from weekly payment planning to the daily calls on what gets paid, when, and through which channel. You will work across bank accounts, card processors, and crypto rails, and act as the central point of control for everything related to cash, debt, and payroll payments.
This is a high-trust, detail-heavy function: you will be the person the founders and CFO rely on to know exactly how much cash is available, what's coming due, and what needs to be prioritized.
Tasks
Build and maintain the weekly cash plan and prioritizing mandatory payments
Update the long-term cash forecasts to support company funding
Make daily liquidity calls across charters, deposits, salaries, taxes, marketing spend, and refunds.
manage refund and payment-processor operations (Revolut, Paysera): cards, access rights, payment execution, and technical confirmations.
Handle crypto-based payments and settlements (USDT/USDC)
Maintain a complete record of company financial liabilities
Monthly control of tax payments
Improve cash management processes and reporting formats
Step in on ad-hoc reconciliation and data-recovery work for management accounting
Requirements
Russian language, based globally with full time access to treasury systems
Working English is a plus
Experience in cash management, treasury, or financial operations
Comfortable working across multiple payment rails
Ability to work independently, prioritizing multiple obligations
Benefits
Fully remote work from anywhere in the world.
37 paid days off per year.
An annual company retreat to celebrate Searadar's birthday.
A birthday gift from the company.
The opportunity to make a meaningful impact in a fast-growing international company.
A collaborative, supportive work environment with minimal bureaucracy.

Work arrangement
Yes

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