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Mercor logo

Finance Expert - Fully Remote | Upto $98/hr

Mercor
Posted 1 hour ago
🌍Australia, Canada, India, United Kingdom, United States🏠Remote📁Finance
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Role Overview

We are seeking expert economists and finance professionals to author and review high-quality academic assessment content for an AI research initiative. You will write and verify rigorous multiple-choice questions across core economics and finance domains, evaluate solution quality, and help establish gold-standard benchmarks used to advance AI capabilities.

You will be assigned one of two task types:

  • Question Authoring — Create original, challenging multiple-choice questions in your area of expertise, rate their difficulty, and submit them for review.

  • Question Verification — Review pre-written questions for accuracy, clarity, and rigor. Edit where needed, rate difficulty, and document any changes made.

Economics & Finance Domains Covered

Algorithmic Trading & Market Microstructure, Macroprudential Policy, Behavioral Finance & Experimental Economics, Urban Economics, Tokenomics & Decentralized Finance.

Key Responsibilities

  • Author original economics and finance questions that test deep conceptual understanding, not surface-level recall

  • Ensure questions are unambiguous, self-contained, and precisely defined — all necessary information must be in the problem statement

  • Rate each question's difficulty: Medium (intro undergraduate), Hard (advanced undergraduate), or Expert (post-graduate and above)

  • Provide 1 correct answer and 9 plausible but subtly incorrect alternatives that challenge expert-level solvers

  • Write step-by-step Chain-of-Thought solutions with clear, concise intermediate steps in markdown format

  • Supply 1–5 academic references per question from reputable sources (peer-reviewed journals, university repositories)

  • For verification tasks: flag issues with clarity, completeness, precision, or solvability and justify any edits made

Ideal Qualifications

  • PhD or doctoral candidate in Economics, Finance, or a closely related field

  • Master's degree considered for candidates with exceptional depth in a specific subdomain

  • Strong command of graduate-level economic theory, quantitative methods, and financial modeling

  • Experience with academic research, CFA/CPA certification, or financial industry expertise is a strong plus

  • Excellent written English and ability to express complex ideas clearly and concisely

More About the Opportunity

  • Expected commitment: 10+ hours/week

  • Asynchronous, fully remote work

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