timeous completion of bi-monthly reconciliations. Capturing of invoices onto AJS accounting system. Maintaining
Ups
eligible and qualified applicants for a position of Data Analyst (Administrative Management Assistant) in developing and implementing data analyses, data collection systems and data management strategies that statistical efficiency and data quality. Scrutinizes information using data analysis and modelling tools includes analyzing vast amounts of unstructured data to identify processing statistics, patterns and Responsibilities Transactional processing analysis and data management in support of the ICASS Service Provider
Reporting Create best-practice reports based on data mining, analysis, and visualisation Prepare, analyse visualisations through data interpretation and integrating various reporting components for multiple data sources Analysis Analysis Interpret data and analyse results based on KPI's Proactively analyse data to answer key questions protocols for handling, processing and cleaning data Support Participate in regular meetings with management and management, analysing and interpreting store data Work closely with project lead to understand and
Reporting Create best-practice reports based on data mining, analysis, and visualisation Prepare, analyse visualisations through data interpretation and integrating various reporting components for multiple data sources Analysis Analysis Interpret data and analyse results based on KPI's Proactively analyse data to answer key questions protocols for handling, processing and cleaning data Support Participate in regular meetings with management and management, analysing and interpreting store data Work closely with project lead to understand and
Cash Ups Weekly Management Meetings Assist with capturing of Stock takes Creditors Reconciliations &
Cash Ups Weekly Management Meetings Assist with capturing of Stock takes Creditors Reconciliations &
and present to financial manager for payment. Capture bank statements weekly on SAGE for cashbook allocations
and present to financial manager for payment. Capture bank statements weekly on SAGE for cashbook allocations
responsibilities will be: Ensure any manual transactions are captured before reports are drawn Ensure there is sufficient