Front Desk Receptionist
Accounting Professional seeking a position where my technical skills and training will be utilized to benefit your organization while continuing to develop as a professional.
Agricultural Accounting Accounts Receivable Accounts Payable
General Accounting Health Care Finance Financial Statements
Closing/Adjusting Entries Cash Management Bank Reconciliations
MS Excel Payroll Payroll Taxes
MS Word Integrated Accounting Ten Key – 40 dpm
Keyboarding –52wpm QuickBooks Written Communication
Oral Communication Office Procedures Telephone Etiquette
Milan Institute, Visalia, CA
Accounting/Bookkeeping Program, Certificate of Completion 12/2015-Present
760 hours of hands-on training in both computerized and manual accounting including banking activities, financial statements, general ledger, accounts receivable, accounts payable, purchasing, inventory, payroll and payroll taxes, including quarterly and annual tax forms, account reconciliations, agricultural accounting, healthcare and finance accounting, and accounting principles and ethics.
College of the Sequoias, Visalia, CA 2014-2015
2 Semesters of General Education
2, 18-week, semesters of general education courses, to include English 001, English 002, Child Development, Sociology, Math, Communications-Public Speaking, Political Science, and Health Basics.
DD’s Discounts, Visalia, CA 11/26/14- Present
Service Desk Cashier and Trainer
Executing proper checkout and return procedures, answering any questions asked by fellow associates or customers, processing inventory, answering telephones with excellent telephone etiquette and oral communication skills, as well as written communication skills when relaying a message, and properly training all new associates on cash register and inventory procedures.
Hokulia Shave Ice, Visalia, Ca 07/2014-11/2014
Directing a small team in daily tasks, in charge of ordering and restocking inventory, updating biweekly work schedule for all associates, in charge of taking accurate orders, accepting payments from orders and giving back correct change, counting tills after each shift and taking revenue to the bank, proper closing and securing the facility each night.