Responsibilities: Own the firm’s patented behavioral frameworks, covering financial personality and the quality of financial decision-making, including their ongoing calibration and improvement as member data grows Direct the firm’s macroeconomic research, covering tracking of high frequency indicators and the macroeconomic views published from it Oversee product scoring and ranking models across mutual funds, health and term insurance, credit cards, home loans, NPS and crypto Lead the development of financial planning models, including asset allocation frameworks, portfolio optimization methods and stress testing Direct the primary research behind 1 Finance Magazine and the firm’s periodic research reports (real estate, credit, liability planning, global economic outlook) Manage the research team, including hiring, performance reviews, research standards and Skills: Has built at least one research product end-to-end, covering framework design, data, modelling, output and maintenance E...