Freelance, Part-Time, Flexible Schedule
Telecommute – Work from Anywhere
Curriculum Developer for Master of Finance Online Program
Mindojo, a developer of intelligent educational technology, is supplying content and services to online universities.
Our existing prep courses for the CFA, GMAT, and GRE exams have quickly become popular, as they are the most powerful online prep options in their respective markets. Our system adapts learning assets to each student’s learning behaviors, reinforces strengths, and targets their weaknesses through personalized practice. As a result, students not only benefit from time-efficient learning methodologies but also improved performance on tests and a more enjoyable learning journey.
We are looking to hire content developers for our online Finance courses, which will be a part of our Master of Finance program. Your primary responsibility will be developing learning content for the program. For those with a terminal degree in an appropriate discipline, you may have the option to facilitate the online courses through our university partners (in addition to content development).
Our Master of Finance program will have 12 courses, focusing on subject matter including investments, international financial management, data analytics, economics, and corporate financial structure. Some sample course descriptions from our program are included below:
The Corporate Financial Structure course is an introduction to the tools and analytical conventions used in corporate finance. Emphasis on the basic elements of financial theory and the application of financial reasoning in relation to common business problems. Foundational aspects of financial concepts, principles, theories, and methodologies in relevance to the practice of corporate finance will be discussed. Strategic valuation models and the cost of capital within a capital rationing model will be analyzed and applied to real-life scenarios to deepen the understanding of financial theories.
The Fundamental of Quantitative Analysis course highlights econometric techniques that are commonly used in analyzing asset pricing and corporate finance models. Linear regression models and dependent variable models and their applicability to the investment process will be analyzed. Emphasis on CAPM, volatility, and pricing models.
The International Financial Management course explores the theory of major finance topics faced in a global setting. Investments across national borders present unique opportunities and risks that require special consideration. Emphasis on the measurements of exchange rates, translation risk, transaction risk, and international diversification. U.S. export regulations and government-assistance programs and their relevance to foreign investments will be discussed.
More specifically, you will:
Develop interactive learning content in collaboration with a brilliant team of professional content developers who share a passion for teaching;
Construct creative questions to assess student understanding;
Ensure academic integrity through peer-review, providing and receiving constructive feedback to ensure the highest quality content;
Outline learning objectives that should be met during the course;
Implement the learning objectives within the course map;
Develop a thorough knowledge of the structure and content of the course;
Contribute to overall course design and pedagogical guidelines; and
After the course launches, utilize …
Accounting & Finance,Education & Training,Writing,Online Content
Work from Anywhere