Global Director of Treasury
Listed on 2026-09-12
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Finance & Banking
Corporate Finance, Risk Manager/Analyst, Chief Financial Officer (CFO)
Here at Humanoid, we believe in a future where robots amplify human potential. That’s why we’ve set out on a mission to build the world’s most capable, commercially-scalable, and safe humanoid robots. We’re bringing that mission to life with HMND‑01 Alpha - our rapidly developed humanoid platform now running in real industrial pilots - and we’re growing the team to take it even further.
AboutThe Role
We're hiring a Treasurer to join our Finance team, based in London. In this role, you'll own Humanoid's global treasury, capital-markets, and investor-relations activities — reporting to the CFO, designing and running the systems that keep the business well-funded, protecting it from financial risk across multiple currencies and entities, and directly supporting our fundraising efforts. This is a high-impact, standalone role for a builder: you'll operate as both strategist and operator, setting policy one day and executing an FX hedge, opening a bank account, or assembling a data room the next.
WhatYou’ll Do Treasury & Cash Management
Own bank account management: Own bank account management across multiple entities and jurisdictions, including account opening, rationalisation, mandates, signatories, and banking-platform administration.
Forecast cash & funding needs: Forecast group and entity-level cash positions, borrowing needs, and funds available for investment; ensure the business is always adequately funded for operations and capital expenditure.
Manage liquidity: Manage day-to-day liquidity, cash pooling, and intercompany funding flows to optimise the use of cash across the group.
Design the FX strategy: Design and execute the group's FX strategy — identifying, quantifying, and hedging currency exposures arising from a multi-entity, multi-currency operating model.
Manage risk: Manage interest-rate and counter party risk, selecting appropriate instruments and monitoring exposures against policy limits.
Maintain controls: Maintain robust controls and reporting around all treasury and risk activity.
Source financing: Source and structure financing through debt instruments (venture debt, working-capital facilities, asset and equipment financing, credit lines) to extend runway and fund growth on efficient terms.
Develop strategic partnerships: Identify and develop strategic partnerships as a source of financing, negotiating terms alongside the CFO and commercial teams.
Manage lender relationships: Manage relationships with banks, lenders, and credit providers, and lead financing negotiations, documentation, and covenant compliance.
Support fundraising end-to-end: Support equity funding rounds end-to-end, partnering with the CFO and founders through preparation, diligence, and close.
Lead investment narratives: Lead pitch-deck creation, investment memos, and financial narratives that clearly articulate the investment case.
Own the data room: Build and manage the data room — owning structure, content, version control, and access — to run efficient, well-controlled diligence processes.
Own investor relations: Own day-to-day investor relations, serving as a key point of contact for existing and prospective investors and managing the cadence of updates, reporting, and communications.
Prepare investor materials: Prepare investor updates, board materials, and capitalisation reporting in partnership with finance and legal.
Manage the cap table: Help maintain and manage the capitalisation table and equity-related processes.
Set treasury policy: Create and maintain the group's investment policy, treasury policy, and related controls, ensuring capital is deployed safely and in…
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