Finance Fellow - Human Frontier Collective (us)

Scale AI Scale AI · Data AI · Remote · Human Frontier Collective

This role is for a Finance Fellow within Scale AI's Human Frontier Collective. The fellowship focuses on applying financial expertise to evaluate, interpret, and improve advanced generative AI systems in financial contexts like valuation, forecasting, and risk assessment. The fellow will collaborate with AI labs, contribute to research publications, and work within a network of AI researchers and domain experts. While the role involves working with AI systems and contributing to AI research, the core craft is finance, not building AI models.

What you'd actually do

  1. Get invited to engage in high-impact projects with our partnered AI labs and platforms.
  2. Develop and evaluate complex financial scenarios to test and enhance AI accuracy in valuation, forecasting, and analysis; collaborate in interactive sessions to assess model outputs for market relevance and compliance; provide detailed feedback to improve AI capabilities; and contribute to specialized projects in financial modeling, risk assessment, and equity research.
  3. Beyond the work, you’ll become part of a supportive, interdisciplinary network of innovators and thought leaders committed to advancing frontier AI across domains.
  4. Collaborate with Scale’s research team to co-author technical reports and research papers—boosting your academic visibility and professional recognition (e.g., [_SciPredict_](https://scale.com/research/scipredict), [_PropensityBench_](https://scale.com/research/propensitybench), [_Professional Reasoning Benchmark_](https://scale.com/research/prbench)).

Skills

Required

  • financial modeling
  • valuation methodologies
  • forecasting
  • asset pricing
  • DCF analysis
  • market analysis
  • risk assessment

Nice to have

  • CFA
  • CPA
  • prior experience with AI

What the JD emphasized

  • authorized to work in the United States
  • PhD, Master, BBA in Finance, Economics, or related degrees
  • 5+ years in FP&A, Investment Banking, Portfolio Management, Financial Consulting, or equivalent research experience
  • Strong proficiency in financial modeling, valuation methodologies, forecasting, asset pricing, DCF analysis, market analysis, and risk assessment