What are the responsibilities and job description for the Treasurer position at Search Services?
ABOUT OUR CLIENT
Our Client is a forward-thinking home energy platform on a mission to make energy work the way it should. Operating across Europe and the United States, the company focuses on servicing, monitoring, upgrading, and optimizing residential and commercial solar and energy systems. With an AI-first platform and a strong emphasis on operational discipline and scalable growth, Our Client is redefining how energy is managed and delivered.
ABOUT THE ROLE
The Treasurer will play a critical leadership role in building and scaling treasury operations, with an immediate focus on cash management, liquidity visibility, and disciplined spending control. This position is central to ensuring capital is efficiently deployed, protected, and optimized as the business grows across multiple markets.
RESPONSIBILITIES
- Lead global cash management across entities, banks, and currencies to improve visibility, control, and deployment of cash balances
- Own the weekly liquidity forecast and develop a reliable rolling 13-week cash forecast to support decision-making and risk management
- Oversee AP approvals and review company spending with a focus on cost control, liquidity preservation, and policy compliance
- Simplify and optimize banking structures, including rationalizing accounts and evaluating cash pooling opportunities
- Manage banking relationships and support the evolution of treasury infrastructure across regions
- Track debt and covenant compliance and support lender reporting requirements
- Monitor foreign exchange exposures and support mitigation strategies
- Develop and maintain payment authorization frameworks to strengthen governance and controls
- Manage intercompany funding and liquidity movement across legal entities
- Oversee treasury operations, including cash application, commissions, expenses, credit cards, and reimbursements
QUALIFICATIONS
- 8 years of progressive experience in treasury, corporate finance, or cash management in a multi-entity, multi-currency environment
- Demonstrated experience owning short-term liquidity management, including weekly and 13-week cash forecasting
- Strong expertise in global cash management, banking structures, payment controls, and treasury operations
- Experience overseeing or partnering on accounts payable approvals and spend governance
- Working knowledge of debt tracking, revolvers, covenant compliance, and lender reporting
- Familiarity with foreign exchange exposure monitoring and treasury risk management
- Experience managing or mentoring team members across geographies
- Strong analytical and operational mindset with the ability to build scalable processes
- Excellent communication skills with the ability to collaborate cross-functionally
PREFERRED QUALIFICATIONS
- Experience in energy, power services, utilities, or complex multi-market industries
- Exposure to cash pooling, notional pooling, or multi-currency treasury structures
- Familiarity with ERP systems, treasury management systems, and banking integrations
- Experience supporting operations across both the United States and Europe
BENEFITS
- Competitive base salary plus annual bonus and equity
- Comprehensive benefits, including medical, dental, and vision coverage
- 401(k) with company match
- Paid time off and additional company benefits
- Opportunity to build and shape treasury functions within a high-growth energy platform
- Direct impact on liquidity, operational control, and capital efficiency in a mission-driven organization