Intermediate Project Manager: Agile: Banking: 1 Year FTC
We are sourcing for has experience as a Project Manager within the Banking and/or Financial Services Space. Your responsibilities
Business Analyst with one of their Investment Banking client within their Compliance Technolofgy Team Permanent role within one of our leading investment banking companies
Intermediate Process Engineer: Banking: 1 year FTC
Agile Concepts + Agile Estimation
Analyst: Banking: 1 Year FTC This invitation is for an amazing candidate to join the banking client and for the CIB business unit contributing toward the bank and the group requirements to SARB-PA as well as recommendations. Ensure understanding and compliance to banking regulations as well as internal policies. Manage Minimum Experience Level: 2 – 4 years' experience in Banking/Financial services environment Technical / Professional writing l Microsoft Office l Banking regulatory knowledge l IT / Banking knowledge Please note: communication
Intermediate Systems Administrator: 1 Year FTC: Banking
The successful System Administrator administrate the Voice-of-the-Client tools for the Banking Client: Cemantica (Client journey scalability, and sustainability in line with the Banks Business Strategy.
Essential Qual
Regulatory Reporting Analyst: Banking: 1 Year FTC
This invitation is for an an amazing candidate to join the banking client and produce and supply regulatory reporting requirements for the CIB business unit contributing toward the bank and the group requirements to SARB-PA as well as
Ensure understanding and compliance to banking regulations as well as internal policies.
Manage Experience Level: 2 – 4 years’ experience in Banking/Financial services environment
Technical
Senior Business Analyst: Banking: 1 Year Fixed Term Contract
Must have
marketing. This role requires someone from the banking or insurance sector - this is non negotiable. Candiate records & achievements) Must come from the banking or insurance industry R12 000 - R22 000 basic
preparation of monthly accruals. Main duties: To check bank statements for suspicious transactions Report suspicious for the payment done outside the system (FNB) Cash book and Bank reconciliation Conduct cash book entry Everest Conduct EFT for payments Do second level Bank authorisation Confirmation of budget allocation employees (FNB) Complete the payment request form Effect the payments on the FNB platform Monthly Bank reconciliations supporting documents for reconciliation Run Bank changes report Capture bank changes on the system Creditors report
Accurately verify, classify, and record data from bank statements.