the specifi c technology. Address the needs of the bank bydeploying, supporting and confi guring the specifi specifi c technology. Develop solutions using knowledge of the technology. Ensure ongoing availability culture of transformation by participating in Nedbank culture building initiatives, businessstrategy professional growth. Understand and embrace the Nedbank vision and values, leading by example. Identify alignment with emerging technologies, and impact on Nedbank technologies. Participation in design forums, project
hours
1 processes, procedures, and best practises for knowledge sharing and future reference.
Required Qua Buckets, Lambda functions, and API GatewayFull-Time hours Primary Industry: Banking and Finance Secondary Industry: Banking and Finance Job Duties: 1. processes, procedures, and best practises for knowledge sharing and future reference. Required Qualifications: S3 Buckets, Lambda functions, and API Gateway Knowledge / Experience with AWS cloud and AWS services such S3 Buckets, Lambda, API Gateway, SQS queues. Knowledge / Experience with batch job scheduling and identifying identifying data/job dependencies. Knowledge / Experience with data engineering using AWS platform. Familiar
Full-Time hours Primary Industry: Banking and Finance Secondary Industry: Banking and Finance Job Duties: 1. processes, procedures, and best practises for knowledge sharing and future reference. Required Qualifications: S3 Buckets, Lambda functions, and API Gateway Knowledge / Experience with AWS cloud and AWS services such S3 Buckets, Lambda, API Gateway, SQS queues. Knowledge / Experience with batch job scheduling and identifying identifying data/job dependencies. Knowledge / Experience with data engineering using AWS platform. Familiar
IRP5’s. Prepare electronic transfer of salaries to bank accounts. Compile the vendor / check list. Minimum environment. Knowledge: Understanding of financial accounting and payroll principles / systems. Knowledge of the the SAP system would be advantageous. Computer literacy (payroll software, Windows and MS Excel). The
IRP5’s. Prepare electronic transfer of salaries to bank accounts. Compile the vendor / check list. Minimum environment. Knowledge: Understanding of financial accounting and payroll principles / systems. Knowledge of the the SAP system would be advantageous. Computer literacy (payroll software, Windows and MS Excel). The
management. Minimum Requirements: Knowledge of bookkeeping practices. Knowledge of generally accepted accounting procedures. Knowledge of relevant legislation and regulatory requirements. Working knowledge of relevant relevant computer applications. Knowledge of data management and financial data analysis. An associate qualification source documents such as invoices, receipts, and computer printouts. Allocate and post financial transaction to the general ledger. Reconcile and balance all bank accounts daily. Manage accounts payable and accounts
Industry: Banking and Finance Job Duties: Manage end-to-end delivery of projects within the banking and finance Proven experience as a Delivery Manager in the banking or financial services industry Strong project management management, preferably in banking and finance Knowledge and Skills: Advanced knowledge of project management attend project-related meetings. Delivery, Manager, Banking, Project
Industry: Banking and Finance Job Duties: Manage end-to-end delivery of projects within the banking and finance Proven experience as a Delivery Manager in the banking or financial services industry Strong project management management, preferably in banking and finance Knowledge and Skills: Advanced knowledge of project management attend project-related meetings. Delivery, Manager, Banking, Project
years’ experience in General Ledger, Journals and Bank Reconciliation, Accounts Payable and Accounts Receivable with MS Office Packages and extensive knowledge of Excel Knowledge of Tourplan is advantageous A minimum years’ experience in General Ledger, Journals and Bank Reconciliation, Accounts Payable and Accounts Receivable controls Bank: daily allocation and monthly reconciliations of foreign currency bank accounts Bank: releasing