Overview
This role supports a foundational AI lab by helping train a language model on professional document, spreadsheet, and slide deck tasks.
The engagement is designed for experienced financial operations professionals who can create, evaluate, and refine AI-generated materials across core finance workflows.
Responsibilities
- Create, evaluate, and refine AI-generated documents, spreadsheets, and slide decks across finance operations workflows, including:
- Monthly close reconciliations and journal entry packages
- Audit request schedules and PBC documentation
- Accounts payable and receivable aging reports
- Budget-to-actual variance summaries
- Internal control walkthroughs and SOX testing memos
- Vendor and expense audit trail spreadsheets
- Apply GAAP and PBC documentation standards to ensure outputs align with required expectations
- Use spreadsheet-based methods to support control testing and related deliverables (e.g., reconciliation logic, review checks)
- Produce polished written materials with strong attention to detail
Requirements
- 5+ years in corporate accounting, financial operations, or internal/external audit support, with hands-on ownership of close reconciliations and audit request schedules
- Deep fluency in GAAP, PBC documentation standards, and spreadsheet-based control testing
- Proficiency with spreadsheet tools and techniques, including:
- Excel/Google Sheets
- Pivot tables
- VLOOKUP/XLOOKUP
- Macros
- Expert-level document, spreadsheet, and slide craftsmanship
- Excellent written communication skills and attention to detail
Compensation & Benefits
Commitment
- Flexible: 5–20 hours per week (or more if desired)
Location
- Fully remote; work on your own schedule
Start Date