仕事内容
<div class="content-intro"><h2><strong>About Anthropic</strong></h2>
<p>Anthropic’s mission is to create reliable, interpretable, and steerable AI systems. We want AI to be safe and beneficial for our users and for society as a whole. Our team is a quickly growing group of committed researchers, engineers, policy experts, and business leaders working together to build beneficial AI systems.</p></div><h2>About the role</h2>
<p>Our Corporate Finance & Strategy team serves as a strategic partner to Anthropic's leadership, driving data-informed decisions that shape our company's future. We are seeking a professional for our Corporate Finance team to support Anthropic's financial planning and reporting capabilities. In this role, you will build and own Anthropic's balance sheet and cash flow forecast, providing leadership a reliable, driver-based view of free cash flow and liquidity.</p>
<p>You’ll own and scale Anthropic's balance sheet and cash flow forecast, taking what exists today and building it into a rigorous, driver-based model. You'll design its architecture and define a robust forecasting methodology and cadence that can scale with the complexity of the business. You'll partner closely with Finance & Strategy, Accounting, and Treasury to turn the forecast into a shared view of cash and liquidity that informs capital and investment decisions. This role offers a unique opportunity to build foundational financial reporting and forecasting processes at Anthropic, using Claude to define what workflows look like when AI is a core part of the toolkit.</p>
<h2>Key responsibilities</h2>
<ul>
<li>Own the balance sheet and cash flow forecast: design the model architecture, choose the tooling, and develop forecasting methodologies for cash-impacting items including working capital, capex, leases, debt and interest, equity and stock-based compensation, and cash taxes</li>
<li>Partner with Finance & Strategy on the forecast inputs and hand-offs the model depends