Experienced with managing return processes and ensuring smooth operations. Utilizes keen problem-solving skills to efficiently handle returns and resolve issues. Strong understanding of inventory management and customer service principles.
Overview
5
5
years of professional experience
Work History
Return Processing Associate
Core Market Distribution
04.2022 - Current
Utilized advanced software programs for tracking return information, maintaining up-to-date records on all processed transactions.
Provided detailed feedback on common issues found in returned products, aiding quality assurance teams in identifying needed improvements.
Served as a reliable point of contact for customers seeking updates on the status of their return, ensuring timely communication of all relevant information.
Conducted regular audits of return inventory levels as part of ongoing efforts towards loss prevention within the organization.
Collaborated with team members to ensure smooth workflow and consistent adherence to return policies.
Demonstrated flexibility in adapting to evolving business needs, taking on additional responsibilities when required to support overall team success.
Assisted in training new employees on return processing procedures, contributing to improved team productivity levels.
Housekeeper
Fairfeild Inn and Suites by Marriott
07.2021 - 04.2022
Disinfected and mopped bathrooms to keep facilities sanitary and clean.
Cleaned and stocked guest rooms by replacing used towels and linens vacuuming floors, making beds, and restocking bathroom items.
Collaborated with other housekeeping staff to complete tasks efficiently and effectively.
Vacuumed rugs and carpeted areas in offices, lobbies, and corridors.
Enhanced guest satisfaction by ensuring thorough cleaning and timely room turnovers.
Ensured all rooms met hotel cleanliness standards by conducting regular inspections and addressing any issues promptly.
Teller
Quick Cash Financial Services
01.2020 - 12.2020
Balanced cash drawer daily and resolved discrepancies to provide accurate data regarding cash flow.
Disbursed cash and checks accurately while maintaining security of cash drawers.
Balanced cash drawers daily, identifying discrepancies and taking corrective actions as needed.