BLAISE NANGUI
**** ***** ****** #* ****: 704-***-****
Charlotte, NC 28213 Email: ************@*******.***
OBEJCTIVE To obtain an entry-level position
EDUCATION Central Piedmont Community College (C.P.C.C.) - Charlotte, NC
English As a Second Language Institute, May 2007
University Of Abidjan - Abidjan, Cote d'Ivoire (Ivory Coast)
Master of Science - Economics, July 2002
University Of Abidjan - Abidjan, Cote d'Ivoire (Ivory Coast)
Bachelor of Science - Management, July 2001
Leboutou High School - Dabou, Cote d'Ivoire (Ivory Coast)
Baccalaureate Degree - Management, July 1999
SKILLS Foreign languages: Fluency in French Softwares: Microsoft
Excel and Word
EXPERIENCE
03/09 - Present Wachovia Bank
Mail Room Clerk
o Operate shrink wrap machine
o Operate folder machine
o Operate and maintain postal equipment such as labeling
and mail machines.
o Receive and collect incoming and outgoing correspondence
and packages.
o Handle mail according the established standards and
procedures.
o Assist with the tracking and ordering of supplies.
o Maintain the necessary logs to track packages.
04/07 - 03/09 PetroExpress
Customer Representative
o Identified, researched and resolved customer issues
o Researched billing issues and recommended process
improvements
o Completed call logs and reports and transferred customer
calls to appropriate staff
10/03 - 01/07 GECOS Technical School - Abidjan, Cote d'Ivoire
Teacher - Finance
o Planned and implemented a program of instruction that
adheres to the school philosophy, goals and objectives
as outlined in the adopted course study.
o Made purposeful and appropriate lesson plans that
provide for effective teaching strategies.
o Planned and implemented a program of study designed to
meet individual needs of students.
o Created a classroom environment conducive to learning by
employing a variety of appropriate teaching strategies.
o Encouraged student enthusiasm for the learning process
and the development of good study habits.
11/01 - 10/03 SCI NELLA - Abidjan, Cote d'Ivoire
Bookkeeper
o Kept records of financial transactions.
o Verified, allocated, and posted details of business
transactions to subsidiary accounts.
o Summarized details in separate ledgers and transfers
data to general ledger.
o Reconciled and balances accounts. Compiled reports to
show statistical data.
o Calculated and paid employee wages from plant records or
time cards and prepared checks for payment of wages.
REFERENCES UPON REQUEST