Hey there! I’m
Indre, Head of Finance at Hostinger, and we’re on a thrilling growth journey! I’m looking for a dynamic Treasury and Controlling Manager who’s not only passionate about these areas but also eager to build high-impact operations and introduce fresh, innovative ideas. This is a diverse role with lots of room for growth as we scale rapidly.
You’ll collaborate closely with Financial Planning, Procurement, External partners such as Banks and Financial institutions, and our CFO, challenging the status quo, and developing strategies to boost business performance and enhance our financial success.
At Hostinger, we empower every team member to make decisions and drive meaningful change, with a strong emphasis on transparency. We’re looking for someone who thrives in this environment and is inspired by our
principles.
If you’re excited about shaping the future of finance and making a real impact, let’s connect! We’d love to hear from you!
What You Will Do:
- Champion the company’s commitment to best-in-class practices and policies for cash collection, spending, and cost control, driving financial excellence and accountability throughout the organization.
- Oversee daily treasury operations, focusing on improving processes and systems to boost efficiency and control.
- Work closely with other departments (e.g., Payments, Procurement, CFO, FP&A) to align financial strategies with business goals while ensuring effective control and oversight.
- Proactively manage cash balances and forecasts to ensure sufficient funding within the group entities while maximizing returns on cash assets.
- Develop and execute an investment strategy that balances risk and return, maximizing surplus cash through short- and long-term options.
- Build strong, long-term partnerships with banks to secure favorable terms and support the company's growth and stability.
- Manage foreign exchange risk by applying optimal strategies for currency collection, hedging, and other risk mitigation techniques.
- Prepare and present financial reports on cash flow, liquidity, foreign exchange exposure, and investment performance to the management.
What We Expect:
- A university degree in finance, accounting, economics or related field.
- 4+ years of experience in in a finance and/or controlling function.
- Proven ability to stay current with industry best practices and apply them effectively.
- Experience in strategic thinking with a focus on long-term planning, risk assessment, and smart investment decision-making.
- Confidence in making critical decisions, supported by strong analytical reasoning.
- Basic familiarity with investment instruments and FX hedging, with a commitment to continuous learning.
- Solid understanding of key purchasing and payment processes.
- Excellent proficiency in both spoken and written English for clear, professional communication.
What We Offer:
- A culture where everyone values the highest standards, freedom, and responsibility.
- A friendly, supportive and experienced team that is eager to share their knowledge.
- Exciting and meaningful work with performance-oriented and data-driven individuals that make an impact on a global scale.
- A chance to be an owner of your flexible working hours and results.
- Everything you need for your professional development, from the latest working equipment to access to training courses, conferences, etc.
- Hybrid work: Combine modern office excitement in Kaunas and Vilnius with the comfort of working from home.
- Gross salary starting from 4100 EUR/month.