Prior experience must include Conduct and publish high quality academic financial research, formulate research questions, obtain data and set up the proper empirical framework to analyze the data if empirical research, set up a theoretical model and solve it if theoretical research, interpret the results from analyses, and write up the research paper; Teach universitylevel finance courses, prepare lecture material, teach the materialtopics, advise students, conduct and grade exams; Retrieve, merge, and compile data from academic financial research databases e.g., CRSP, Compustat for empirical research and analyze the data via econometric methods using statistical software such as SAS andor Stata; Perform computer programming in Python, and, for empirical research, computer programming in statistical software e.g., SAS, Stata.
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