Etobicoke, Ontario, Canada
I analyze, separate, and match picking and packing slips as well as invoices. I process incoming and outgoing invoices via Microsoft Business Central, compose and respond to emails regarding orders, pricing, and other matters using Outlook, prepare cheques for vendors, and receive cheques from customers. Additionally, I assist in accounting processes, prepare shipments via various couriers, investigate and relay any delays or discrepancies to the appropriate department, and perform other tasks such as filing, organizing, and ordering office supplies.
I greeted guests upon entrance with a positive attitude, checked identification, directed guests to their desired destinations, maintained a POS system, answered and directed phone calls, placed take-out and delivery orders, and managed coat check.
I prepared daily property and employee financial reports using Oracle, prepared bank deposits, controlled cash flow of the vault and parred banks of up to $400 while creating Excel spreadsheets reflecting all reports.