Finance Lead
Humanoid is the first AI and robotics company in the UK, creating the world’s most advanced, reliable, commercially scalable, and safe humanoid robots. Our first humanoid robot HMND 01 is a next-gen labour automation unit, providing highly efficient services across various use cases, starting with industrial applications.
We are looking for Investor Relations Lead to join our team based in London, UK.
Our Mission
At Humanoid we strive to create the world’s leading, commercially scalable, safe, and advanced humanoid robots that seamlessly integrate into daily life and amplify human capacity.
Vision
In a world where artificial intelligence opens up new horizons, our faith in its potential unveils a new outlook where, together, humans and machines build a new future filled with knowledge, inspiration, and incredible discoveries. The development of a functional humanoid robot underpins an era of abundance and well-being where poverty will disappear, and people will be able to choose what they want to do. We believe that providing a universal basic income will eventually be a true evolution of our civilization.
Solution
As the demands on our built environment rise, labour shortages loom. With the world’s workforce increasingly moving away from undesirable tasks, the manufacturing, construction, and logistics industries critical to our daily lives are left exposed. By deploying our general-purpose humanoid robots in environments deemed hazardous or monotonous, we envision a future where human well-being is safeguarded while closing the gaps in critical global labour needs.
Responsibilities
- Financial Planning and Analysis: Develop and oversee financial planning processes, including budgeting, forecasting, and financial modeling, to support strategic decision-making and ensure financial sustainability.
- Financial Reporting and Analysis: Prepare and analyze financial reports, including income statements, balance sheets, and cash flow statements, to assess the company’s financial performance and provide insights to management.
- Cash Flow Management: Manage cash flow and liquidity, including monitoring cash inflows and outflows, optimizing working capital, and forecasting cash needs to ensure adequate liquidity for business operations.
- Financial Controls and Compliance: Establish and maintain financial controls and compliance procedures, including internal controls, policies, and procedures, to ensure accuracy, integrity, and regulatory compliance in financial reporting and operations.
- Financial Risk Management: Identify and mitigate financial risks, including market risks, credit risks, and operational risks, and develop risk management strategies to protect the company’s financial assets and interests.
- Investment Analysis and Capital Allocation: Evaluate investment opportunities and capital allocation decisions, including capital expenditures, mergers and acquisitions, and strategic investments, to optimize returns and enhance shareholder value.
- Tax Planning and Compliance: Develop and implement tax planning strategies, including tax optimization and compliance with tax regulations, to minimize tax liabilities and ensure compliance with tax laws and regulations.
- Financial Strategy and Decision Support: Provide financial analysis and decision support to management, including evaluating strategic initiatives, assessing investment opportunities, and optimizing resource allocation to achieve business objectives.
Expertise
- Financial Planning and Analysis: Proficiency in financial planning processes, including budgeting, forecasting, and financial modeling, with the ability to analyze financial data and provide insights to support strategic decision-making.
- Financial Reporting and Analysis: Strong analytical skills, with experience in preparing and analyzing financial reports, including income statements, balance sheets, and cash flow statements, to assess financial performance and identify trends and opportunities.
- Cash Flow Management: Knowledge of cash flow management principles and practices, including cash flow forecasting, working capital optimization, and liquidity management, to ensure adequate cash reserves for business operations.
- Financial Controls and Compliance: Understanding of financial controls and compliance procedures, including internal controls, policies, and procedures, and experience in establishing and maintaining controls to ensure accuracy, integrity, and regulatory compliance in financial reporting and operations.
- Financial Risk Management: Familiarity with financial risk management principles and techniques, including risk identification, assessment, and mitigation strategies, to protect the company’s financial assets and interests.
- Investment Analysis and Capital Allocation: Experience in evaluating investment opportunities and capital allocation decisions, including capital expenditures, mergers and acquisitions, and strategic investments, to optimize returns and enhance shareholder value.
- Tax Planning and Compliance: Knowledge of tax planning strategies and tax regulations, with experience in tax optimization and compliance to minimize tax liabilities and ensure compliance with tax laws and regulations.
- Financial Strategy and Decision Support: Strong business acumen, with the ability to provide financial analysis and decision support to management, including evaluating strategic initiatives, assessing investment opportunities, and optimizing resource allocation to achieve business objectives.
Benefits
- High competitive salary.
- 23 calendar days of vacation per year.
- Flexible working hours.
- Opportunity to work on the latest technologies in AI/ML, Robotics and others.
- Startup model, offering a dynamic and innovative work environment.
How to Apply
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