Remote

MAG 24 LLC
New York, NY, United States
23 days ago
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Role details

Contract type
Permanent contract
Employment type
Part-time (≤ 32 hours)
Compensation
$156,000.0 - $239,200.0
Working hours
Regular working hours

Tech stack

Artificial Intelligence Analysis of Variance (ANOVA) Spreadsheets Planning Software Treasury System

Job description

We are sharing a specialised part-time consulting opportunity for experienced FP&A and treasury professionals with hands-on expertise in financial planning, forecasting, cash management, variance analysis, and financial modelling. This role supports an advanced AI initiative focused on translating real-world corporate finance and treasury workflows into structured evaluation materials. Selected professionals will create realistic planning and cash-management scenarios, review model-generated outputs, assess assumptions and calculations, and provide detailed feedback that improves financial reasoning across FP&A and treasury tasks., Financial Planning & Forecasting

  • Design realistic scenarios involving operating budgets, annual plans, and rolling forecasts
  • Develop tasks reflecting revenue, expense, headcount, and departmental planning processes
  • Evaluate forecast assumptions, model logic, and financial conclusions
  • Identify inconsistencies, unsupported inputs, and gaps in planning methodology

Variance Analysis & Management Reporting

  • Create and review flux and variance analyses across actual, budget, and forecast results
  • Assess explanations for financial performance and key business drivers
  • Evaluate the accuracy, clarity, and usefulness of management commentary
  • Identify material trends, risks, and opportunities requiring further analysis

Treasury & Cash Management

  • Develop scenarios involving 13-week cash flow forecasts and daily cash positioning
  • Review bank administration, liquidity planning, and cash-management activities
  • Assess FX revaluation calculations and foreign-currency exposure
  • Evaluate debt schedules, covenant compliance, and related treasury reporting

Financial Model & AI Output Evaluation

  • Create formula-driven financial models reflecting practical FP&A and treasury workflows
  • Review and compare model-generated outputs for calculation accuracy and sound judgment
  • Assess whether assumptions are realistic, consistent, and appropriately supported
  • Provide clear written feedback explaining errors, strengths, and required improvements
  • Collaborate asynchronously with research and quality-review teams, * Influence how AI systems reason through financial assumptions, models, and forecasts
  • Review challenging outputs involving budgets, liquidity, variance analysis, and treasury operations
  • Participate in flexible remote work with competitive hourly compensation

Contract Details

  • Independent contractor role
  • Fully remote with flexible scheduling
  • Competitive rates between $75-$115 per hour depending on expertise and project scope
  • The application process may include a resume or professional-experience summary
  • Applicants may be asked to describe their finance specialties, practice areas, and certifications
  • Selected candidates may complete a brief sample task
  • Weekly payments via Stripe or Wise
  • Work may include scenario development, financial-output evaluation, written feedback, and quality calibration
  • Projects may be extended, shortened, or adjusted depending on scope and performance
  • Work will not involve access to confidential or proprietary information from any employer, client, or institution

About the Platform This opportunity is available through 24-MAG LLC. We connect experienced professionals with remote consulting opportunities across technical, evaluation, and project-based workstreams. By submitting this application, you acknowledge that your information may be processed by 24-MAG LLC for recruitment and opportunity matching in accordance with our Privacy Policy: .

Requirements

  • Professional experience in corporate FP&A, treasury, cash management, or financial planning
  • Hands-on experience with budgeting, forecasting, variance analysis, and management reporting
  • Strong financial-modelling skills, including formula-driven spreadsheet models
  • Experience preparing cash flow forecasts, liquidity analyses, or daily cash positions
  • Familiarity with debt, covenant compliance, bank administration, and FX exposure
  • Experience within a mid-sized or larger corporate finance organisation
  • Excellent written communication and close attention to detail
  • Ability to work independently within an asynchronous project environment

Educational Background

  • A bachelor’s degree in finance, accounting, economics, business, or a related discipline is highly relevant
  • An MBA or advanced finance qualification may strengthen an application
  • Certified Treasury Professional credentials may be valuable for treasury-focused candidates
  • Equivalent senior-level experience in FP&A, treasury, or corporate finance may also be considered

Nice to Have

  • Certified Treasury Professional certification
  • Experience supporting executive, board, or investor reporting
  • Familiarity with treasury management systems, ERP platforms, or planning software
  • Background in working-capital analysis and liquidity optimisation
  • Experience with multi-entity, multi-currency, or international finance operations
  • Knowledge of banking relationships, credit facilities, and debt compliance
  • Previous involvement in task writing, rubric development, structured evaluation, or AI training-data work
  • Experience reviewing financial models or analyses prepared by other professionals

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