Jerwie Escabillas, Guest Relations Executive

Jerwie Escabillas

Guest Relations Executive

Kennedy Property

Lieu
Émirats Arabes Unis - Abu Dhabi
Éducation
Baccalauréat, Management Accounting
Expérience
17 years, 7 Mois

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Expériences professionnelles

Total des années d'expérience :17 years, 7 Mois

Guest Relations Executive à Kennedy Property
  • Émirats Arabes Unis - Abu Dhabi
  • Je travaille ici depuis janvier 2023

• Direct communication with guests before arrival to coordinate smooth check-in.
• Handling guest complaints and concerns in an efficient and timely manner.
• Coordinating the furnishing with the Landlords of new vacant properties according to the Department of Tourism & Commerce Marketing quality standard s.
• Maintaining a strict inventory of furniture items in the property and oversee the security de posit h and ling process.
• Taking responsibility for the cleanliness of all properties and adhering to housekeeping standards.
• Maintains up-to d ate information on arrivals, departures and apartment condition.
• Conducts regular property inspections to identify and address any maintenance or repair needs

Operations Coordinator/Inventory Controller à Joint Tank Services FZCO
  • Émirats Arabes Unis - Abu Dhabi
  • avril 2021 à janvier 2023

• Prepares work orders after client’s agreed estimation cost of labor including spare parts and periodic testing (if necessary) for tan k repair.
• Generates invoices to all clients every end of the month.
• Communicates clients with their incoming chemical tanks whether it’s for cleaning or repair.
• Updates Tank Cleaning Certificates; uploads new Periodic Test Certificate in I-tank depot software and sending to clients via email.
• Assists managers in day-to-day coordination and management of business operational activities.
• Updates manually on cleaning certificate of food grade categorized tank of Stolt-Nielsen Limited.
• Send s photos of post-repair completion; on -hire & off-hire photos and report to Seaco.
• Coordinates clients on tanks gate passes through Dubai Trade PCFC
System.
• Receives goods at the warehouse from suppliers; ensures that items are well accounted as per the Delivery Note & PO.
• Identifies problems in the operation process and provides solutions in a timely manner.
• Sorts, organizes and stores inventory items in the proper location.
• Monitors and maintains current inventory levels; processes purchase orders as required; tracks order and investigate problems.
• Records purchases, maintains the database, performs a physical count of inventory and reconcile stock count to computer- generated reports.
• Maintains records on items issued to the respective departments; reports damage and or missing inventory to supervisors.
• Conducts inventory at the end of the month.
• Generates monthly report using SAGE software.
• Knowledgeable in I-tank Depot Software.

Teller à Emirates NBD Bank
  • Émirats Arabes Unis - Dubaï
  • mars 2013 à décembre 2016

Accepts and processes cash and check deposits,
verify amounts and check the accuracy of the deposit slips
Processes withdrawal from account against foreign currencies
Buys/Sells foreign currencies
Updates the currency rate board on daily basis to display prevailing buying/selling foreign currency rates
Facilitates credit card cash advances
Meets customers, understand their needs and provide services related to Demand drafts, Telegraphic transfers, Returned outward Clearing.
Processes inter-account transfers with bank’s guidelines and procedures
Processes bills/cheques for collection(inward & outward), Posts Inward and Outward Clearing Cheques in Dirhams
Prints outward clearing summary
Balances currencies, coins and checks in cash drawer at the end of shifts
Provides politeness, courteousness, quick & error free service to all level of clients

Cashier/ Customer Service à Wall Street Exchange
  • Émirats Arabes Unis - Dubaï
  • juillet 2007 à janvier 2013

Exposed to large volume of cash handling
Handles Foreign Currency, Remittances and other customer transactions as assigned by the Branch Manager
Buys/sells Foreign Currency
Facilitates Visa and MasterCard Cash Advances
Processes Western Union, Instant Cash both Sending and Receiving
Reports any anomalies such as Shortages/Overages to Superior immediately
Keeps records of customer interactions, processes customer accounts and file documents
Handles complaints, attends customer's inquiries, provides appropriate resolution and alternatives within the time limits and follow up to ensure resolution
Builds sustainable relationships of trust through open and interactive communication

Teller/Customer Service Representative à Al Fardan Exchange
  • Émirats Arabes Unis - Dubaï
  • décembre 2006 à juillet 2007

Enters customer data in file in order to facilitate the job and have quick access for the customer database
Receives cash payment and balances cash at the end of the day
Makes inquiries for remittance forwarded, as per requirements
Follow up unfunded remittances, amendments, sending email to correspondent banks for verification.
Prints remittance daily report, remittance daily mail report and daily remittance sending messages
Attends the customer inquiries as per the need and requirements
Attends to the customer requirements in making Demand Drafts, Telex Transfer etc.
Develops positive relationship with culturally diversified customers

Teller/Accounts Assistant or CASA Bookkeeper à Bank of Cebu
  • Philippines
  • août 2004 à septembre 2006

Responsible for the preparation and proper recording of transactions, and the maintenance of accounting records
Responsible for the review of the accuracy of computer generated reports, control maintenance and safekeeping of documents affecting inputs to CASA system
Accepts and processes cash and cheque deposits and withdrawals
Entertains client's inquiries on balances, deposits and passbook updates

Administrative Assistant/Data Entry Operator à Brutus Foods Systems, Inc.
  • Philippines
  • avril 2002 à juillet 2004

Serves as liaison with other departments and operating units in the resolution of day-to-day administrative and operational problems
Responsible for the encoding of inter-branch requisitions and reconciliations

Éducation

Baccalauréat, Management Accounting
  • à University of Cebu
  • mars 2001

Specialties & Skills

Deposits
Customer Service Skill
Numeracy skill
Planning
Decision-making
Communication

Langues

Anglais
Expert
Tagalog
Langue Maternelle

Adhésions

Junior Philippines Institute of Accountants
  • Member
  • June 2002

Formation et Diplômes

Delivering Excellent Customer Serive (Formation)
Institut de formation:
Emirates NBD Learning and Development
Date de la formation:
December 2016
Durée:
8 heures
Group Compliance- Sanction Policy Awareness (Formation)
Institut de formation:
Emirates NBD Learning and Development
Date de la formation:
January 2016
Durée:
4 heures
BPM Prepaid Card Training (Formation)
Institut de formation:
Emirates NBD Learning and Development
Date de la formation:
May 2016
Durée:
8 heures
Principles of Business Writing (Formation)
Institut de formation:
Emirates NBD Learning and Development
Date de la formation:
December 2016
Durée:
24 heures

Loisirs

  • Fishing
    just for relaxation/fun
  • tennis
    3rd place inter-group Class C