Finance Specialist - AI Trainer

Obsidian

Dallas (TX)

On-site

USD 90,000 - 180,000

Full time

14 days+
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Job summary

Mercor is collaborating with a leading AI lab to engage seasoned FP&A and treasury professionals. You will translate real planning, analysis, and cash management tasks into structured training data to teach AI how finance teams actually operate.

The role focuses on designing realistic scenarios, reviewing AI outputs for accuracy, and providing actionable feedback to improve AI planning and cash management capabilities. Collaboration with a remote research team is expected.

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.

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

Skills

Financial modeling
Treasury / cash management
Written communication

Education

Bachelor's degree in Finance/Accounting
MBA (Finance)

Job description

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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