Logo for 24-MAG

Remote | FP&A & Treasury Finance Specialist — $75–$115/hour

Role overview

Qualifications

  • Professional experience in corporate FPA, treasury, cash management, or financial planning
  • Strong financial-modelling skills, including formula-driven spreadsheet models
  • Excellent written communication and close attention to detail
  • A bachelor's degree in finance, accounting, economics, business, or a related discipline

Responsibilities

  • Design realistic scenarios involving operating budgets, annual plans, and rolling forecasts
  • Create and review flux and variance analyses across actual, budget, and forecast results
  • Develop scenarios involving 13-week cash flow forecasts and daily cash positioning
  • Create formula-driven financial models reflecting practical FPA and treasury workflows

About the company

24-MAG logo

24-MAG

Company details

Company size2 - 10

Your match analysis

See how your profile stacks up against this role.

We compared the job requirements to your profile to show where you're strong and where you fall short.

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.

Key Responsibilities

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

Ideal Profile

Strong candidates may have:

  • 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

Why This Opportunity

  • Apply practical FP&A and treasury expertise to advanced AI evaluation work
  • Develop realistic scenarios grounded in corporate planning and cash-management practice
  • 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: https://www.24-mag.com/privacy-policy.

Apply once. Then go straight to the hiring manager.

After you apply, unlock the direct contact details of the people who actually make the call. A quick follow-up makes you 5x more likely to land an interview.

MR

Marcus Rivera

Chief Revenue Officer

m.rivera@company.com
linkedin.com/in/marcusrivera
Unlocked after you apply
·

Treasury Analyst Related jobs

Other jobs at 24-MAG

Premium

Reach out to the hiring manager directly.

Gain access to the contact details of the hiring managers who actually decide, and reach out to network with them directly. That, plus more when you upgrade:

  • Full match report with fit score and gaps
  • Career diagnostics on how recruiters read you
  • Curated company matches and warm intros
  • 48h early access to new roles

Cancel anytime.