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Mujin is a Tokyo-based industrial automation company revolutionizing supply chain automation through proprietary machine intelligence (MujinMI) and an integrated control platform (MujinOS) powered by real-time digital twin technology. The company is seeking a Treasury Analyst to support its global financial operations.
In this role, you will be responsible for core treasury functions including cash management, liquidity management, and bank relationship optimization. Your responsibilities will include monitoring and managing the group's overall cash position, supporting short- and medium-term cash planning, aggregating and analyzing cash flow data, and preparing and managing bank submission documents. You will also support bank relationship management and fundraising initiatives by communicating with banking partners, supporting borrowing-related activities, and preparing data and materials for capital raising projects. Additionally, you will drive process improvements and project initiatives, including standardizing and optimizing treasury operations, visualizing and analyzing financial data, and collaborating across departments on financial projects.
This is an entry point into global treasury work with clear career progression. After mastering treasury fundamentals, you may expand into capital strategy, fundraising, investor relations, or specialized global treasury roles based on your experience and interests.
The company offers flexible working hours (core hours 10:00–15:00), comprehensive benefits including free lunch, on-site gym, and team dinners, and a collaborative environment in a growth-stage company.
REQUIREMENTS:
Must-have:
• 3+ years of experience in one of the following: corporate accounting, corporate finance, bank corporate sales/related roles, or experience at audit firms, FAS, or investment banks
• Foundational knowledge of accounting and finance
• Experience aggregating and analyzing data using Excel
• Native-level Japanese proficiency
• Ability to communicate smoothly with internal and external stakeholders
Desired:
• Treasury-specific work experience
• Bank negotiation experience
• Cash management or cash flow management experience
• ERP system experience
• Business experience in English
• Experience at global companies
• Involvement in IPO preparation or capital raising projects