About The Position

We are sharing a specialised part-time consulting opportunity for professionals experienced in financial analysis, financial modeling, forecasting, financial statement analysis, budgeting, variance analysis, and structured finance workflow review. This role supports current and upcoming remote consulting opportunities focused on financial model review, forecast assessment, budgeting workflows, variance analysis, statement review, finance deliverable evaluation, and high-quality project execution. Selected professionals will apply their finance expertise to review realistic financial scenarios, evaluate analytical outputs, prepare structured written feedback, and support accurate, evidence-based finance workflow tasks.

Requirements

  • Professional experience in financial analysis, FP&A, corporate finance, accounting, investment analysis, business analysis, strategic finance, or related finance roles.
  • Background in one or more areas such as financial modeling, forecasting, financial statement analysis, budgeting, variance analysis, KPI reporting, or management reporting.
  • Familiarity with finance workflows involving models, budgets, forecasts, variance bridges, financial statements, dashboards, and executive finance summaries.
  • Strong written communication skills.
  • Ability to work independently in a remote, project-based environment.
  • A degree or professional background in finance, accounting, economics, business administration, mathematics, statistics, or a related analytical field is helpful.
  • CFA progress, CPA progress, MBA, FP&A experience, or equivalent finance training is highly relevant.
  • Equivalent practical experience in financial analysis, corporate finance, accounting, FP&A, or business analysis is also valuable.

Nice To Haves

  • Experience in corporate finance, FP&A, investment analysis, accounting, consulting, banking, startups, SaaS finance, or business analytics environments.
  • Familiarity with Excel, Google Sheets, Power BI, Tableau, SQL, financial planning systems, ERP systems, or dashboarding tools.
  • Experience preparing or reviewing financial models, forecasts, budgets, variance reports, KPI dashboards, financial statement analyses, or executive finance materials.
  • Strong attention to detail in numbers-heavy, model-heavy, and reporting-focused finance environments.

Responsibilities

  • Review scenarios involving financial models, forecasts, operating plans, revenue projections, expense planning, and business assumptions.
  • Evaluate financial outputs against source data, model logic, business drivers, and documented review criteria.
  • Support structured review of Excel models, forecast files, KPI summaries, planning materials, and management finance outputs.
  • Identify missing assumptions, calculation issues, formula gaps, and expected financial review outcomes.
  • Review materials involving income statements, balance sheets, cash flow statements, management reports, and business performance summaries.
  • Evaluate financial statement analysis for accuracy, clarity, completeness, and alignment with underlying data.
  • Support structured review of ratios, trends, profitability analysis, cash flow interpretation, and business performance commentary.
  • Prepare clear written feedback based on source materials and verifiable criteria.
  • Review scenarios involving budgeting, budget-to-actual analysis, variance explanations, department planning, and recurring finance workflows.
  • Evaluate variance analysis against financial records, business context, operating assumptions, and expected reporting standards.
  • Provide structured feedback on finance outputs, model quality, analytical reasoning, and communication clarity.
  • Maintain accuracy, consistency, and professional judgment across submitted work.

Benefits

  • Competitive hourly compensation
  • Flexible assignments
  • Remote structure
  • Weekly payments via Stripe or Wise
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