MercorPosted 20 Jul 2026
FP&A & Treasury Analyst
Pay
$80–120/hr
Work
Remote · Contract
Experience
Mid level
Eligibility
USA
Field
Finance & accounting
Skills
Financial Planning and Analysis (FP&A)Treasury ManagementCash ManagementFinancial ModelingOperating BudgetsRolling ForecastsVariance AnalysisCash Flow ForecastingCash PositioningBank AdministrationFX RevaluationDebt and Covenant ComplianceAI Output EvaluationCertified Treasury Professional (CTP)
About this role
Role Overview
Mercor is collaborating with a leading AI lab to engage experienced FP&A and treasury professionals. You'll translate real planning, analysis, and cash / treasury work into structured, high-quality training data that teaches AI to reason about how finance teams actually work.
Focus Areas
Financial planning & analysis (FP&A) · treasury & cash management.
Key Responsibilities
- Design realistic scenarios from your work — operating budgets and rolling forecasts, flux / variance analysis and commentary, 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 / treasury outputs for accuracy and sound judgment on assumptions
- Provide clear written feedback that improves how AI performs planning and cash-management tasks
- Collaborate asynchronously with the research team
Ideal Qualifications
- Finance / MBA background with strong financial-modeling skills and hands-on cash / treasury exposure
- CTP (Certified Treasury Professional) 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
Application Process
- Submit a resume or a short summary of your FP&A / treasury experience
- Complete a short form on your practice area, specialties, and certifications
- Selected applicants may complete a brief sample task
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