Python Developer (ASAP Joiner)

Makati, National Capital Region
Posted 9 days ago
Company:
Hunter's Hub, Inc.
Company Description:
Hunter’s Hub Incorporated is a Sourcing and Headhunting company that was founded earlier on in the year 2018. The company prides itself in its ability to source and recruit only the best and brightest of each industry. Hunter’s Hub caters to numerous clients in a multitude of industries, and has a wide-range of candidate selections to suit any of our clients’ needs. Likewise, the company specialises in sourcing out highly skilled and multi-talented IT professionals because the company mostly caters to clients being widely known to be in the IT industry.
Contract Type:
Full Time
Experience Required:
3 to 4 years
Education Level:
Bachelor’s Degree
Number of vacancies:
2

Job Description

Qualifications:

Education & Experience:

Bachelor’s degree in Computer Science, Information Technology, Finance, or a related field.

3+ years of experience in Python development, preferably in financial applications or reconciliation systems.

Experience in automating financial transaction processes and data reconciliation.

Technical Skills:

Proficiency in Python and related libraries/frameworks (e.g., Pandas, NumPy, SQLAlchemy) at least 3 years of experience.

Strong experience with data validation, error-checking algorithms, and data integrity controls.

Experience with SQL and relational databases (e.g., MySQL, PostgreSQL, SQL Server) for integrating data sources.

Experience in report generation and data visualization using tools like Matplotlib, Seaborn, or Power BI.

Knowledge of API integrations and handling financial data from multiple sources is an advantage.

Understanding of ETL (Extract, Transform, Load) processes for financial reconciliation is a plus.

Job Description
• Design and develop Python applications to automate reconciliation processes for financial transactions.

• Collaborate with finance teams to understand reconciliation requirements and translate them into technical specifications.

• Implement data validation and error-checking algorithms to ensure data integrity.

• Create and maintain reports that highlight discrepancies and provide actionable insights.

• Integrate various data sources and databases to facilitate reconciliations.

• Troubleshoot and resolve issues related to data discrepancies and reconciliation workflows.

• Conduct testing and validation of reconciliation systems to ensure accuracy and reliability.

• Document processes, workflows, and system configurations for future reference.