Hardworking and reliable employee with extensive background operating cash registers, stocking merchandise and providing excellent customer service. Highly organized, proactive, and punctual. Works well within team settings.
Overview
4
4
years of professional experience
2014
2014
years of post-secondary education
Work History
Cashier
Town Pump
East Helena, MT
05.2025 - Current
Processed customer transactions using cash register and point-of-sale system.
Maintained accurate cash drawer balance throughout shift.
Assisted customers with product inquiries and guided them through store layout for improved shopping experience.
Handled customer complaints and resolved issues to maintain satisfaction and loyalty.
Stocked shelves and organized merchandise to improve visibility and accessibility of products.
Accounting Technician
State of Montana DLI
Helena, MT
01.2025 - 04.2025
Processed invoices and maintained accurate financial records for state transactions, ensuring compliance with regulatory standards.
Assisted in reconciling accounts to ensure financial accuracy and compliance.
Utilized accounting software to input and track budgetary data efficiently.
Collaborated with team members to resolve discrepancies in financial statements, enhancing overall reporting accuracy.
Streamlined filing and organization of financial documents, improving retrieval time and supporting efficient financial audits.
Co-Manager
Town Pump
East Helena, MT
04.2022 - 01.2025
Oversaw daily operations and staff performance, ensuring smooth workflow and high service standards in a busy convenience store.
Managed inventory levels and ordered supplies, maintaining optimal product availability and reducing stockouts.
Trained new employees on store procedures and customer service standards.
Resolved customer complaints efficiently, enhancing customer satisfaction and fostering loyalty.
Processed invoices, payments, receipts, and other transactions accurately and in a timely manner.
Managed daily bookkeeping tasks using accounting software and spreadsheets.
Organized and filed invoices, receipts, and other financial documents systematically.
Reconciled bank statements to ensure financial accuracy and completeness.