Reliable worker with strong ability to communicate, pay attention, and work hard. Great at teamwork or working on my own. Offering great customer service, stocking, book keeping, or answering phones. Highly productive and punctual with a team-oriented mentality.
Overview
3
3
years of professional experience
Work History
Sales Associate
Sherman's Shoes
Idabel, OK
11.2022 - 05.2023
Delivered exceptional customer service.
Assisted in inventory management, ensuring accurate stock levels and organization of merchandise.
Organized racks and shelves to maintain store visual appeal, engage customers, and promote specific merchandise.
Managed returns, exchanges and refunds.
Prepared merchandise for sales floor by pricing or tagging.
Helped customers locate products and checked store system for merchandise.
Handled cash transactions efficiently while ensuring accuracy in all financial exchanges.
Associate
COURSEY ENTERPRISES
Idabel, OK
11.2021 - 11.2022
Boxing and unboxing supplies while counting products to keep track of inventory.
Stocking shelves and maintaining inventory count.
Worked as a team and worked on my own.
Pharmacy Technician
SIMPSON PHARMACY
Broken Bow, OK
12.2020 - 11.2021
Maintained clean and organized pharmacy shelving and work areas.
Managed inventories, rotated stock, removed expired or damaged drug products and resolved discrepancies in drug counts.
Responded to telephone inquiries and provided information about order status, store hours and pharmacy procedures.
Helped pharmacy staff prepare medications and fill orders.
Opened incoming supplies and stocked in correct locations.
Closely inspected medications to determine accuracy of identities, strengths and purities.
Bank Teller
MCCURTAIN COUNTY NATIONAL BANK
Idabel, OK
01.2020 - 07.2020
Maintained optimal financial controls by securing funds and making accurate transactions.
Promoted facility security by monitoring customer behaviors and following established protocols to protect individuals and assets.
Counted as much as $100,000 in daily funds with manual and machine-assisted methods.
Processed customer transactions, including loan payments, safe deposit boxes and check-cashing.
Cashed customer checks, including verifying identification and checking account balances in accordance with bank policy.