Job Description
The Risk Management Institute (RMI) aims to be a world-class centre in risk management through research, education and training, and is striving to become a local, regional and global knowledge and research centre for risk management and related fields.
The role will be responsible for:
- Research collaboration
- Teach FE5108 Porfolio Theory and Investments for the NUS-RMI Master of Science (Financial Engineering) Program
- Conduct 18 hours of lectures in total
Qualifications
- Ph.D. in Economics from National University of Singapore (NUS)
- Bachelor’s degree in Economics from University of International Business and Economics (UIBE)
Interested applicants are invited to apply directly at the NUS Career Portal. Your application will be processed only if you apply via NUS Career Portal.
We regret that only shortlisted candidates will be notified.