Related skills
risk management financial modeling derivatives portfolio management macroeconomics📋 Description
- Engage the model with investment scenarios and market reasoning tasks.
- Verify factual correctness and financial logic.
- Assess validity of investment reasoning and prompts.
- Capture reproducible error traces and provide structured feedback.
- Identify where models oversimplify market behavior.
- Support evaluation frameworks and analytical depth.
🎯 Requirements
- Familiar with equity and fixed-income markets.
- Experience in portfolio management and asset allocation.
- Knowledge of derivatives and valuation methods.
- Strong financial modeling and risk management skills.
- Exposure to behavioral finance and macroeconomics.
- Clear, metacognitive communication—showing your work.
🎁 Benefits
- Remote work from anywhere worldwide.
- Contract role with flexible hours.
- You provide your own equipment and internet.
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