About this role
Role Overview
Apply practical FP&A, cash management, and treasury expertise to create structured training data that helps AI reason through real finance-team workflows.
Key Responsibilities
- Create realistic scenarios based on operating budgets, rolling forecasts, flux and variance analysis with commentary, 13-week cash flow forecasts, daily cash positioning, bank administration, FX revaluation, debt and covenant compliance schedules, and formula-driven financial models.
- Evaluate AI-generated FP&A and treasury work for accuracy and the quality of its assumptions and judgment.
- Provide clear written feedback to improve AI performance on planning and cash-management tasks.
- Collaborate asynchronously with the research team.
Qualifications
- Finance or MBA background, strong financial-modeling skills, and hands-on cash or treasury experience.
- Corporate FP&A or treasury experience at a mid-size or larger company.
- Bachelor''s degree in Finance, Accounting, or a related field.
- Strong written communication skills and close attention to detail.
- CTP, Certified Treasury Professional, is preferred for candidates focused on treasury.
Work Terms
- Remote, hourly engagement.
- Focus areas include financial planning and analysis, treasury, and cash management.
Compensation
- $80 to $120 per hour.
Application Process
- Submit a resume or a brief summary of your FP&A and treasury experience.
- Complete a short form describing your practice area, specialties, and certifications.
- Selected applicants may be asked to complete a brief sample task.