Employment Type Project-Based Independent Contractor (Remote) Schedule This is an ad-hoc, project-based opportunity. Work is assigned based on client demand and project availability. Hours are not guaranteed and may vary from week to week.
FP&A & Treasury Analyst
Job description
Role Overview
Mercor is seeking experienced FP&A & Treasury Analysts to help train next-generation AI systems by contributing real-world finance expertise. In this fully remote hourly contract role, you will transform practical financial planning, forecasting, and treasury workflows into structured training data, evaluate AI-generated finance outputs, and provide expert feedback that improves AI performance across planning, analysis, and cash management.
This opportunity is ideal for finance professionals with experience in Financial Planning & Analysis (FP&A), treasury operations, budgeting, forecasting, and financial modeling.
Key Responsibilities
Design Finance Training Tasks
- Create realistic finance scenarios based on day-to-day FP&A and treasury responsibilities.
- Develop structured tasks involving:
- Operating budgets
- Rolling forecasts
- Variance (flux) analysis and commentary
- 13-week cash flow forecasts
- Daily cash positioning
- Bank administration
- Foreign exchange (FX) revaluation
- Debt and covenant compliance schedules
- Formula-driven financial models
Evaluate AI Outputs
Review AI-generated FP&A and treasury responses for:
- Financial accuracy
- Sound assumptions
- Professional judgment
- Best practices
Compare multiple AI-generated solutions and identify the strongest response.
Improve AI Performance
- Provide detailed written feedback that improves AI reasoning for financial planning and treasury tasks.
- Collaborate asynchronously with research teams throughout the project.
- Contribute structured financial knowledge to enhance AI training datasets.
Required Qualifications
Finance or MBA background with strong financial modeling skills.
Hands-on experience in:
- Financial Planning & Analysis (FP&A)
- Treasury
- Cash management
Corporate FP&A or treasury experience at a mid-size or large organization.
Bachelor's degree in:
- Finance
- Accounting
- Related field
Strong written communication skills.
Excellent analytical abilities and attention to detail.
Preferred Qualifications
Certified Treasury Professional (CTP) certification.
Experience developing budgets, forecasts, and treasury reporting.
Strong knowledge of corporate finance and cash management best practices.
Compensation
- $80–$120 per hour
- Weekly payments via Stripe or Wise
Work Arrangement
- Fully Remote
- Independent Contractor
- Flexible schedule
- Project-based engagement with potential extensions based on business needs and performance
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