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 f...

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