---
title: "Global Director of Treasury"
company: "Humanoid"
company_url: "https://www.remjobs.works/companies/humanoid"
url: "https://www.remjobs.works/job/humanoid-global-director-of-treasury-99508f33-ef83-4491-9977-dfbb638c926f"
apply_url: "https://jobs.ashbyhq.com/humanoid/ebeee15a-a3f4-48e8-8a35-5c4cb2720b96"
workplace: onsite
location: "UK, London"
employment_type: full-time
seniority: director
role: finance-legal
region: united-kingdom
date_posted: 2026-09-07T15:35:06.477Z
first_seen_by_remjobs: 2026-09-15T19:09:04.031Z
---

# Global Director of Treasury

**Humanoid** · UK, London

Apply: https://jobs.ashbyhq.com/humanoid/ebeee15a-a3f4-48e8-8a35-5c4cb2720b96

## About Humanoid

Nos médias sont propulsés par une ambition : être leaders dans leur catégorie. Pour cela, nous donnons à nos rédactions toutes les armes pour faire du journalisme en ligne plébiscité, accessible gratuitement pour nos lectrices et nos lecteurs.

## About the role

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.

About The 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.

What You’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.**Foreign Exchange & Financial Risk**

- 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 counterparty risk, selecting appropriate instruments and monitoring exposures against policy limits.

- Maintain controls: Maintain robust controls and reporting around all treasury and risk activity.**Financing, Debt & Strategic Partnerships**

- 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.**Equity Fundraising Support**

- 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.**Investor Relations**

- 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.**Policy & Governance**

- Set treasury policy: Create and maintain the group's investment policy, treasury policy, and related controls, ensuring capital is deployed safely and in line with the Board's risk appetite.

- Build scalable processes: Establish scalable treasury processes, controls, and systems appropriate to a fast-growing, international business.

- Ensure compliance: Ensure compliance with relevant regulatory, tax, and reporting requirements across the entities you support.What We’re Looking For

- Significant experience in treasury, corporate finance, capital markets, or a closely related field, ideally spanning both operational treasury and fundraising.

- Demonstrated ability to manage FX and financial risk across a multi-entity, multi-currency group.

- Hands-on experience with bank account management, banking platforms, and cash-flow forecasting.

- A track record of sourcing and executing financing — debt instruments, facilities, and/or strategic partnerships.

- Direct involvement in equity fundraising: pitch decks, investment memos, data-room management, and investor diligence.

- Strong financial modelling and analytical skills, with excellent written communication for investor-facing materials.

- A builder's mindset — comfortable operating with autonomy in a fast-paced, ambiguous, high-growth environment.

- Bachelor's degree in finance, accounting, economics, or a related discipline; a professional qualification (e.g. ACT/AMCT, CFA, ACA/ACCA/CIMA, or CTP) is a strong plus.

- Experience in a venture-backed, high-growth startup or scale-up, ideally in hardware, robotics, deep tech, or manufacturing, or banking experience.

- Familiarity with cap-table management and investor-relations tooling.

- Exposure to international expansion and entity setup across multiple jurisdictions.What We Offer

- Competitive equity: stock options with meaningful upside as we scale.

- 30+ paid days off, including 23 days of annual leave, all UK bank holidays, and additional company closure days (including Christmas–New Year shutdown).

- Private healthcare, including virtual and in-person care.

- Pension scheme with 8% total contribution (5% employee, 3% employer) on full earnings.

- Free daily breakfast, catered lunch, and snacks in-office.

- Work at the frontier - collaborate daily with world-class engineers, researchers, and product experts building the next generation of AI and humanoid robotics.

- Real ownership - direct access to founding leadership, meaningful input on product direction, and the ability to drive key initiatives from day one.

- Travel opportunities to our international offices.

---

Source: Humanoid's own career page, read by RemJobs. Canonical HTML version: https://www.remjobs.works/job/humanoid-global-director-of-treasury-99508f33-ef83-4491-9977-dfbb638c926f
