drawings
The HC Group Data Analyst is responsible
analysing, and interpreting data to inform strategic decision-making. The HC Group Data Analyst plays a vital
vital role in leveraging data to support evidence-based decision-making and drive HC initiatives that align
Managing the integrity of HC data across the various platforms.
Gathering data from various HC systems
platforms, and employee surveys.
Analysing HC data to identify trends, patterns, and correlations.
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The HC Group Data Analyst is responsible
analysing, and interpreting data to inform strategic decision-making. The HC Group Data Analyst plays a vital
vital role in leveraging data to support evidence-based decision-making and drive HC initiatives that align
Managing the integrity of HC data across the various platforms.
Gathering data from various HC systems
platforms, and employee surveys.
Analysing HC data to identify trends, patterns, and correlations.
An exciting opportunity presents itself for an Accountant to join an advisory firm. This role is based description: Overall accounting experience, managing client accounts Technically strong in accounting and payroll
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exciting opportunity presents itself for an Advisory Accountant to join an advisory firm. This role is based description: Overall accounting experience, managing client accounts Technically strong in accounting Preparation
Function
Client, based in Bryanston, is looking for an Accounts Clerk to join their team. Salary is dependent Debtors Function Must be able to work Accounts Payables; Accounts Receivables; and Reconciliations. Consultant:
Bryanston, our client is in search of a Junior Accountant. This role, reporting directly to the Financial involves close collaboration with the Financial Accountant, Accounts Payable Administrator, Customer Services include managing daily transactions, handling Accounts Receivable Debit and Credit notes, processing and sustainability. Key Responsibilities Process Accounts Receivable Debit/Credit Notes Process invoices/debit/credit month-end analysis of accounts and process adjusting entries to reconcile accounts. Prepare Balance Sheet