Investment Specialist – Freelance AI Trainer Project
Quick Summary
Foundational to advanced knowledge of investment topics, such as financial modeling, asset allocation, portfolio management, risk evaluation, and macroeconomic market dynamics. Background in finance,
In this innovative freelance role, you will leverage your expertise in financial markets and asset management to train and refine next-generation artificial intelligence models. Operating in a flexible, 100% remote environment, you will play a crucial role in enhancing AI reasoning across equity analysis, portfolio construction, risk management, and market valuation. By designing complex financial scenarios, probing system capabilities, and capturing failure modes, your insights will directly impact how future AI tools analyze economic data and support global investment decision-making. Working alongside an international team at the intersection of finance and machine learning, you will help shape transparent, highly accurate analytical frameworks for professionals and investors worldwide.
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Formulate, execute, and document realistic investment scenarios, market-based reasoning tasks, and financial analysis prompts to test the boundaries of advanced language models.
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Evaluate the factual accuracy, quantitative rigor, and financial logic of AI-generated responses across asset classes, including equities, fixed income, derivatives, and macroeconomics.
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Identify, capture, and analyze detailed error traces, logic breakdowns, and oversimplifications in model outputs to improve analytical depth and reasoning accuracy.
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Provide clear, structured, and metacognitive feedback ("showing your work") to refine system prompts, evaluation guidelines, and benchmark datasets.
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Collaborate on improving model performance related to portfolio management, valuation methodologies, technical and fundamental analysis, and risk assessment.
Requirements
~1 min read-
Foundational to advanced knowledge of investment topics, such as financial modeling, asset allocation, portfolio management, risk evaluation, and macroeconomic market dynamics.
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Background in finance, economics, accounting, business administration, or related fields, though practical knowledge and analytical capability are prioritized.
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Strong critical thinking and metacognitive abilities, with a proven knack for explicitly articulating complex reasoning, step-by-step logic, and analytical decisions.
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Experience in asset management, equity/fixed-income research, financial planning, brokerage, or financial analysis is highly valued; motivated entry-level candidates with strong financial literacy are welcome.
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High attention to detail, excellent written English communication, and comfort working independently in a remote settings.
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Access to a secure, personal computer and a high-speed, reliable internet connection.
What We Offer
~1 min readLocation & Eligibility
Listing Details
- Posted
- October 8, 2026
- First seen
- October 8, 2026
- Last seen
- October 8, 2026
Posting Health
- Days active
- 0
- Repost count
- 0
- Trust Level
- 68%
- Scored at
- October 8, 2026
Signal breakdown
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