Adjunct Associate Faculty, Financial Securities Analysis and Portfolio Management (On-Campus, Spring '26)

Columbia University

Adjunct Associate Faculty, Financial Securities Analysis and Portfolio Management (On-Campus, Spring '26)

New York, NY
Full Time
Paid
  • Responsibilities

    Job Description

    The School of Professional Studies seeks candidates to serve as a part-time Associate for a graduate- level course in Financial Securities Analysis and Portfolio Management. An Associate is a faculty line junior to a
    Lecturer that provides subject matter expertise and supports the instructional process for a course
    section. Serving as an Associate is an outstanding way to gain exposure to graduate-level teaching at
    Columbia University.

    Financial securities analysis and portfolio management is the study of analyzing information to evaluate financial securities and design investment strategies. Studying the subject can provide a foundation for students entering the fields of investment analysis or portfolio management. This course provides an intensive introduction to major topics in investments.

    Responsibilities

    • Attend all class sessions, assist with instruction, lead breakout sessions, facilitate discussions.
    • Lead class lectures, instructional activities, and classroom discussion. Attend all class sessions.
    • Evaluate, grade student work and assessments as requested by the course Lecturer.
    • Monitor and address student concerns and inquiries.
  • Qualifications

    Qualifications

    Columbia University SPS operates under a scholar-practitioner faculty model, which enables students to learn from faculty possessing outstanding academic training and a record of accomplishment as practitioners in an applied industry setting.

    Requirements

    • Graduate degree in Finance or a related field.
    • 3+ years of professional experience in a role involving financial securities analysis and portfolio management
    • Proficiency in Python; e.g. using libraries for data manipulation, statistical analysis, machine learning implementations, and data visualization.

    Preferred Skills & Experience

    • University teaching experience.
    • Experience applying Python to real-world financial securities and portfolio management problems.
    • Ability to mentor students and provide constructive feedback on analytical work.

    Additional Information

    Salary : $3,343.74 per semester-length course

    • Please submit a resume inclusive of university teaching experience.

    ** All your information will be kept confidential according to EEO guidelines.**

    ** Columbia University is an Equal Opportunity/Affirmative Action employer.**

  • Industry
    Education