
Controller
Added
11/17/2025
How Syndicated Job Posts Work
This Role is Closed
This is a Featured Job
Note: We've kept the name of the company private. If you'd like to know the company before requesting an intro, just email us at hello [at] fractionaljobs.io
Company Description
Compute Exchange is building the world’s first institutional-grade marketplace for AI compute and is looking to hire a Fractional Controller. Our platform connects enterprises, AI labs, data centers, and cloud providers to buy and sell GPU compute — transparently, securely, and efficiently.
AI is creating a new asset class: compute. We are building the platform that powers this market.
If you want to be at the ground floor of a category-defining company and help shape the future of AI infrastructure trading — we would love to meet you.
Role Description
The Fractional Controller will oversee the company’s treasury operations and vendor payment processes, ensuring accurate, timely, and compliant cash disbursements. This role focuses on managing daily cash flow, optimizing liquidity, and maintaining strong internal controls over the company’s payment and banking activities. The ideal candidate is detail-oriented, experienced in treasury and payables management, and comfortable working independently in a flexible, part-time capacity.
Key Responsibilities
Treasury & Cash Management
- Monitor and manage daily cash positions and cash flow forecasts.
- Maintain accurate records of bank balances, cash transfers, and funding requirements.
- Reconcile bank accounts and ensure proper documentation of all cash movements.
- Ensure appropriate liquidity to meet operating needs while optimizing idle cash.
- Manage relationships with banks and financial institutions.
Vendor Payments & Disbursements
- Oversee accounts payable processes to ensure accurate and timely vendor payments.
- Review and approve payment batches, wires, and ACH transactions.
- Verify invoice accuracy, proper coding, and authorization prior to payment.
- Ensure compliance with internal approval policies.
- Monitor aging reports and resolve vendor inquiries or payment issues promptly.
Accounting & Reporting
- Support month-end close by reconciling cash, payables, and related accounts.
- Prepare cash flow reports and variance analyses for management review.
- Assist in maintaining internal control documentation related to treasury and disbursement activities.
Qualifications
- Bachelor’s degree in Accounting, Finance, or related field (CPA preferred but not required).
- 5+ years of accounting or treasury experience, with strong understanding of cash management and payables.
- Proficiency with accounting and treasury systems (e.g., QuickBooks, etc).
- Excellent attention to detail and accuracy in high-volume payment environments.
- Strong understanding of internal controls, approval workflows, and fraud prevention best practices.
- Ability to work independently and manage priorities effectively in a part-time schedule.
How to Apply
Note: This is a syndicated job post. We found it on the web, but Fractional Jobs is not working with the client directly, so we don't have control over or knowledge of the application process. To apply, click on the "View Application" button and follow the application's instructions. Let us know how it goes!
How to Get in Touch
Hit that "Request Intro" button below. Include any relevant links so we can get to know you better.
Your brief intro note should clearly address:
If we think there's a fit, we'll reach out to schedule an intro call. Looking forward!
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