Review and refine AI-generated content related to investment management, financial analysis, and markets
Evaluate outputs for accuracy, realism, and alignment with actual investment strategies and scenarios
Draft realistic investment case studies and scenarios—including equities, fixed income, alternative assets, portfolio construction, and risk management
Assess AI reasoning on topics such as asset allocation, due diligence, market trends, valuation, and regulatory considerations
Identify inaccuracies, knowledge gaps, or flawed interpretations in methodology or analysis
Create scenario variations from the perspective of different stakeholders, such as portfolio managers, analysts, or investors
Requirements
An investment manager, portfolio analyst, financial advisor, or institutional investor
Based in the EU or UK
With several years of experience in investment management, financial analysis, or asset allocation
Experienced with modern investment tools, risk frameworks, and financial modeling
Skilled at spotting analytical flaws, unrealistic assumptions, and market misinterpretations
Available 8 to 20 hours per week
Able to start in the coming weeks
Benefits
Flexible hours
Fully remote
Apply your investment expertise to advance AI systems
Shape widely-used AI products in finance
Clear project scope and structured onboarding
Potential for long-term collaboration, based on performance