FP&A & Treasury Analyst
Posted 2hrs ago
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Job Description
FP&A and treasury analyst translating financial planning and cash-management expertise into training data. Reviewing AI-generated finance outputs for leading AI labs.
Responsibilities:
- Design realistic scenarios based on FP&A and treasury work, including operating budgets, rolling forecasts, flux / variance analysis, 13-week cash flow forecasts, daily cash positioning, bank administration, FX revaluation, debt / covenant compliance schedules, and formula-driven financial models
- Review and compare AI-generated FP&A and treasury outputs for accuracy and sound judgment
- Provide clear written feedback to improve AI planning and cash-management performance
- Collaborate asynchronously with the research team
- Translate real planning, analysis, and cash / treasury work into structured training data for AI systems
Requirements:
- Finance / MBA background with strong financial-modeling skills and hands-on cash / treasury exposure
- CTP (Certified Treasury Professional) is a plus for treasury-leaning candidates
- 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 and attention to detail
- Must not require H1-B or STEM OPT support
- Independent contractor eligibility
Benefits:
- Fully remote role
- Flexible schedule / work on your own schedule
- Weekly payments via Stripe or Wise
- Competitive pay
- Independent contractor engagement
- Projects may be extended, shortened, or concluded early depending on needs and performance
- Reasonable accommodations upon request
- Referral payments of up to $480 per successful referral, with no limit on referrals















