Detail-oriented inventory specialist with proven skills in barcode scanning and invoice processing. Committed to maintaining accurate records and supporting seamless operations.
Overview
20
20
years of professional experience
Work History
MARKET DELIVERY INVENTORY SPECIALIST
LOWES
Houston, Texas
05.2025 - Current
Managed inventory levels using specialized software for tracking stock.
Maintained accurate and up-to-date inventory records.
Entered information into system to update status reports.
Utilized barcode scanners to quickly update inventories in the system.
Inspected incoming materials for damage.
Bookkeeper
SOMERS CUSTOM PAINTING
Shepherd, Texas
12.2005 - 07.2025
Managed invoice creation and payment collection for business operations
Managed accounts payable and receivable processes efficiently.
Prepared and processed payroll for employees on a bi-weekly basis.
MARKET DELIVERY ASSOCIATE
Lowes
Houston, Texas
09.2023 - 06.2025
Maintained accurate delivery logs and records for tracking shipments.
Communicated with customers regarding delivery times and service updates.
Cashier
THE BANK OF SAN JACINTO COUNTY
Coldspring, Texas
08.2018 - 09.2023
Processed customer transactions efficiently at a busy retail environment.
Maintained accurate cash drawer throughout shifts to ensure balance.
Assisted customers with product inquiries and provided prompt service.
Teller
Peoples State Bank
Shepherd, Texas
03.2013 - 04.2018
Processed customer transactions accurately and efficiently at local financial institution.
Assisted customers with account inquiries and provided relevant information.
Maintained cash drawer balance and performed regular cash counting procedures.
Received and processed customer transactions, including deposits, withdrawals, loan payments and other banking services.
Managed accounts payable and receivable processes efficiently.
Reconciled bank statements and general ledger accounts accurately.
Conducted monthly bank reconciliations.
Maintained accurate financial records using accounting software and spreadsheets.
Assisted in monthly bank reconciliations to ensure account accuracy.
Supported year-end audits by organizing financial documents and reports.
Collaborated with team members to streamline bookkeeping processes and workflows.