
FP&A Analyst, Treasury
Posted 3 days ago

Posted 3 days ago
This is a fully remote position, open to applicants in United States.
• Create realistic scenarios based on your experience, including operating budgets and rolling forecasts, variance analysis and commentary, 13-week cash flow projections, daily cash management and banking administration, FX revaluation, debt and covenant compliance schedules, along with formula-driven financial models.
• Assess and contrast AI-generated FP&A / treasury outputs for precision and sound judgment regarding assumptions.
• Offer clear written feedback to enhance AI's effectiveness in planning and cash management functions.
• Collaborate asynchronously with the research team.
• Background in Finance / MBA with robust financial modeling skills and practical experience in cash management / treasury.
• CTP (Certified Treasury Professional) certification is advantageous for candidates with a treasury focus.
• Experience in corporate FP&A or treasury within a mid-size or larger organization.
• Bachelor's degree in Finance, Accounting, or a related discipline.
• Excellent written communication skills and meticulous attention to detail.
• Submit a resume or a brief overview of your FP&A / treasury background.
• Complete a short form detailing your practice area, specialties, and certifications.
• Selected candidates may be required to complete a brief sample task.
• Competitive salary and performance-based bonuses.
• Opportunities for professional development and career advancement.
• Flexible work environment and remote work options.
• Comprehensive health and wellness benefits.
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