Overview
This role involves evaluating AI-generated financial reasoning to improve how AI systems handle real-world accounting and finance workflows. The position is suited for experienced professionals who have practical experience in accounting, auditing, financial planning and analysis, tax, finance management, or controllership.
Responsibilities
- Review AI-generated accounting analyses and workflows
- Evaluate reconciliations, reporting logic, tax treatments, and audit processes
- Identify gaps in reasoning and accounting inaccuracies
- Analyze real-world accounting scenarios and operational decisions
- Contribute to improving AI systems' understanding of finance and accounting workflows
- Participate in remote research sessions and project-based tasks
Requirements
- Minimum 3 years of hands-on experience in one or more of the following areas:
- Accounting
- Audit
- Financial Planning & Analysis (FP&A)
- Tax
- Corporate Finance
- Bookkeeping
- Treasury
- Financial Reporting
- Controllership
- Experience with operational accounting processes such as month-end and year-end close, reconciliations, audits, forecasting, reporting, tax, and compliance workflows
- Based in the United Kingdom
- Strong written communication skills in English
- Comfortable reviewing financial workflows and explaining reasoning
Preferred Qualifications
- Professional certifications such as ACA, ACCA, or CIMA
- Experience with Big 4 accounting firms, public accounting, startup finance, ERP systems, or enterprise accounting systems
Compensation & Benefits
- Hourly pay ranging from £40 to £110 depending on experience and specialty
- Fully remote work
- Flexible schedule allowing you to work when you want
- Weekly payment
- Project-based opportunities collaborating with AI labs, fintech companies, and research teams
Location
- Must be based in the United Kingdom