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Financial Management Academic Developers and Critical readers (part-time)

milparkeducationlive
Companymilparkeducationlive
CategoryEngineering
LocationZA
Remote
EmploymentNot stated
LevelNot stated
SalaryNot stated by the employer
First seen24 Jul 2026 (the employer did not state a posting date)
Last verified11 Aug 2026
SourceEmployer ATS (bamboohr)
Applications are handled by the employer, not by us.Apply on the employer's site →
Description
Join Milpark Education's School of Commerce Milpark Education is expanding its network of subject matter experts to support the development and quality assurance of teaching and learning material across a range of Financial Management modules. We are seeking experienced legal academics and practitioners to contribute as Academic Developers, Assessors, Moderators and Critical Readers on a contract basis. Successful candidates will collaborate with our curriculum and instructional design team to ensure the delivery of high-quality, industry-relevant learning experiences. Application close date: 21 August 2026 Minimum Requirements • Minimum of a Master's degree in Finance, Financial Management, Investment Management, Economics, Accounting, or a closely related field • Proven industry experience in financial management, corporate finance, treasury, investment analysis, banking, financial markets, or risk management • Experience in curriculum development, academic writing, assessment design, or training within higher education or professional learning environments • Strong quantitative, analytical and financial modelling skills, with the ability to translate complex financial concepts into accessible learning material • Experience with financial analysis tools, spreadsheet modelling, or financial software will be advantageous • Ability to work collaboratively with an instructional designer and academic team, and meet structured development timelines • Available for contract-based work (remote) We are currently recruiting for the following module areas: • Financial Management 2 • Risk Management and Derivatives • Financial Markets and Institutions