Cashier/Barista {Accounting Professional}
Zuhour Group
مجموع سنوات الخبرة :19 years, 8 أشهر
Delivering checks and handling payments by cash, Debit and Credit Cards on POS.
Greeting, escorting and presenting menu to guests on their tables.
Taking and responding to guests’ orders, questions and needs to achieve satisfaction.
Preparing tables by setting linens, silverware and glasses.
Serving food and drink orders.
Maintaining a clean and tidy checkout area.
Preparing and serving hot and cold beverages, such as coffee, espresso drinks and teas.
Maintaining cleanliness, sanitation at the assigned work area, utensils and equipment.
Checking temperatures of freezers, or heating equipment to ensure proper functioning.
Weighing, grinding and blending of fruit juices for customers.
Ordering, setting up and restocking product displays.
Managing day to day transactions.
Posting daily receipts and payments.
Managing inter branch suspense accounts/ ledgers.
Posting journal entries for accruals and prepayments.
Preparing financial documents such as invoices, account payables and receivables.
Sorting financial documents and posting them to the proper accounts.
Verifying balances in account books and rectifying discrepancies.
Completing and resolving errors in financial reports.
Completing bank reconciliations.
Ensured that meetings are effectively organised, and minutes are recorded
Managed correspondence and database
Managed the financial administration of the association
Prepared and reconciled the financial statements of the association.
Tutoring and assessing ICAN ATS 2 level students on PSA for Mar. 2016 diet
Tutoring and assessing ICAN skill level students on PSAF for Nov. 2016 diet
Preparation of teaching and learning materials and timely marking of students’ work
Undertaking other duties as required by the proprietor.
Tutoring and assessing CITN foundation level students on Accounting for Apr. 2016 diet
Preparation of teaching and learning materials and timely marking of students’ work.
Receiving and posting daily cash receipts and payments.
Receiving and posting inward and outward clearing cheques.
Creating of Tax Payers ID and capture Tax revenue on E pay.
Receiving and posting daily cash receipts and payments.
Posting of moneygram and western union.
Capturing of payments on pay-direct, e-Tranzact, and E-bills etc .
Associate Member (ACA) May. 2013 of The Institute of Chartered Accountants of Nigeria. Associate Accounting Technician (AAT) May. 2008
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