Total Years of Experience: 12 Years, 4 Months
April 2014
To Present
Cashier
at KM Trading
Location :
United Arab Emirates - Sharjah
Duties and Responsibilities:
• Scan items and ensure pricing is correct.
• Greet customers and ask if they want paper or plastic.
• Take coupons and scan correctly.
• Dispense correct change.
• Take money in the form of cash, credit card, or check.
• Validate checks.
• Count money in cash drawers at the beginning of shifts to ensure that amounts are correct and that there is adequate change.
• Change receipt paper as needed.
• Resolve amount discrepancies.
• Bag items carefully.
• Clean up checkout area with damp cloth and disinfectant.
• Establish or identify prices of goods, services or admission, and tabulate bills using calculators, cash registers, or optical price scanners.
• Answer customers' questions and get a manager if answer doesn't solve the issue.
• Cash checks and provide change.
• Scan items and ensure pricing is correct.
• Greet customers and ask if they want paper or plastic.
• Take coupons and scan correctly.
• Dispense correct change.
• Take money in the form of cash, credit card, or check.
• Validate checks.
• Count money in cash drawers at the beginning of shifts to ensure that amounts are correct and that there is adequate change.
• Change receipt paper as needed.
• Resolve amount discrepancies.
• Bag items carefully.
• Clean up checkout area with damp cloth and disinfectant.
• Establish or identify prices of goods, services or admission, and tabulate bills using calculators, cash registers, or optical price scanners.
• Answer customers' questions and get a manager if answer doesn't solve the issue.
• Cash checks and provide change.
August 2012
To February 2014
Bank Teller
at Metrobank
Location :
Philippines
Duties and Responsibilities:
• Balance currency, coin, and checks in cash drawers at ends of shifts, and calculate daily transactions using computers, calculators, or adding machines.
• Cash checks and pay out money after verifying that signatures are correct, that written and numerical amounts agree, and that accounts have sufficient funds.
• Receive checks and cash for deposit, verify amounts, and check accuracy of deposit slips.
• Examine checks for endorsements and to verify other information such as dates, bank names, identification of the persons receiving payments and the legality of the documents.
• Enter customers' transactions into computers in order to record transactions and issue computer-generated receipts.
• Count currency, coins, and checks received, by hand or using currency-counting machine, in order to prepare them for deposit or shipment to branch banks or the Federal Reserve Bank.
• Identify transaction mistakes when debits and credits do not balance.
• Prepare and verify cashier's checks.
• Arrange monies received in cash boxes and coin dispensers according to denomination.
• Order a supply of cash to meet daily needs.
• Sort and file deposit slips and checks.
• Balance currency, coin, and checks in cash drawers at ends of shifts, and calculate daily transactions using computers, calculators, or adding machines.
• Cash checks and pay out money after verifying that signatures are correct, that written and numerical amounts agree, and that accounts have sufficient funds.
• Receive checks and cash for deposit, verify amounts, and check accuracy of deposit slips.
• Examine checks for endorsements and to verify other information such as dates, bank names, identification of the persons receiving payments and the legality of the documents.
• Enter customers' transactions into computers in order to record transactions and issue computer-generated receipts.
• Count currency, coins, and checks received, by hand or using currency-counting machine, in order to prepare them for deposit or shipment to branch banks or the Federal Reserve Bank.
• Identify transaction mistakes when debits and credits do not balance.
• Prepare and verify cashier's checks.
• Arrange monies received in cash boxes and coin dispensers according to denomination.
• Order a supply of cash to meet daily needs.
• Sort and file deposit slips and checks.
April 2012
To July 2012
Office Staff
at Municipality Of San Nicolas, Pangasinan
Location :
Philippines
Duties and Responsibilities:
• Making and issuing police clearance.
• Responsible for making letters for barangay.
• Arranging all the files.
• Entering all the records to system.
• Making and issuing police clearance.
• Responsible for making letters for barangay.
• Arranging all the files.
• Entering all the records to system.
August 2009
To January 2010
Service Provider / Stock Clerk
at Shoe Mart
Location :
Philippines
Duties and Responsibilities:
• Receiving delivery.
• Encoding all new delivery in the system.
• Day to day of printing stocks availability.
• Updating promotional item.
• Monitoring promotions.
• Receiving delivery.
• Encoding all new delivery in the system.
• Day to day of printing stocks availability.
• Updating promotional item.
• Monitoring promotions.
Share on Facebook
Share on Twitter
Share Via Email