Treasury and Capital Strategy

Mujin is a Tokyo-based industrial robotics company providing MujinOS, intelligent robot controllers, and automated robotics solutions for logistics and manufacturing.

Tokyo, Japan
About Mujin, Inc.

Mujin develops and sells intelligent robot controllers and delivers robotics solutions. Its MujinOS platform integrates robots, AGVs, and automation devices using digital-twin-based control for industrial automation.

View jobs by Mujin, Inc.

Skills

Candidate Availability

Required and preferred rules are kept separate and reflect the wording in the original posting.

About the Role

You will manage global cash positions, liquidity, cash-flow forecasts, cash allocation, and treasury controls. You will maintain banking infrastructure and relationships, monitor foreign-exchange and interest-rate risks, improve treasury processes and systems, and support capital allocation, fundraising, investor materials, and due diligence as assigned.

Requirements

  • 3 or more years of corporate sales or relationship-management experience at a major bank, or practical experience in FAS, an accounting firm, or a corporate finance department
  • Fundamental knowledge of finance and accounting, including cash-flow statements, cash management, and foreign exchange
  • Financial modeling and data analysis using Excel
  • Native-level Japanese
  • Elementary business-level English for reading, writing, email, and documents
  • Logical thinking
  • Multitasking
  • Teamwork

Responsibilities

  • Monitor group cash positions and manage liquidity
  • Prepare and improve short-term and medium- to long-term cash-flow forecasts
  • Manage cash allocation for tax, investment, and working-capital needs
  • Operate and improve cash governance and fraud-prevention controls
  • Maintain banking relationships and support negotiations
  • Manage bank accounts, access controls, and e-banking controls
  • Support RFP responses, fee negotiations, and service-level optimization
  • Manage and monitor credit lines, foreign-exchange contracts, and working-capital instruments
  • Identify, map, and monitor foreign-exchange exposures
  • Research and report on macroeconomic and market conditions
  • Operate and document global treasury policies
  • Address capital-regulation and cross-border remittance compliance
  • Standardize and visualize treasury work using digital tools
  • Improve cash data through ERP and financial-analysis system integration
  • Support capital allocation, fundraising analysis, investor materials, due diligence, financial KPI analysis, and valuation scenarios

Benefits

  • Flexible working hours with core hours from 10:00 to 15:00
  • Two days off per week
  • Annual paid leave
  • Bereavement leave
  • Maternity, childcare, and nursing-care leave
  • Flexible holiday program
  • Casual dress
  • Commuting allowance
  • Social insurance
  • Monthly team dinner support
  • Free daily lunch buffet
  • Free drinks and snacks
  • Free office gym