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Data Entry Customer Service

Location:
Brampton, ON, Canada
Posted:
February 25, 2019

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Resume:

Osazuwa Precious BSc (Hons).

Specialize in:

Schedule Analyst, Supply Chain, Inventory Analyst, Data Entry Administration

Telephone: +1-647-***-**** Email: ****************@*****.***

Profession: Supply Chain Analyst

Current Position: Schedule Analyst & Inventory clerk

Years of Experience:

9

Languages: Residence:

English Toronto Canada

Education:

Supply Chain Management Certificate, Humber College, ON Canada. 2018

BSc. – Marketing, Imo State University, Nigeria. 2010

Highlights of Qualification:

Knowledgeable in Business Processes- (SAP), Logistics Technology, International Logistics and Procurement

Proficient in Microsoft Excel, Word, Access and PowerPoint

Skilled in accurately assessing tasks for completeness and compliance with work objectives

Reliable, welcoming new challenges and continuous learning of new concepts and technologies

Excellent verbal and written English communication skills

Well versed with accounts receivable duties such as preparing and verifying batches of cheques, and entering data into various accounting software, processing credit card payments and bank deposits, as well as setting-up of new banking information and reconciling bank statements

Key Qualifications: Precious graduated with B.Sc. in Marketing and also bagged Supply Chain Management Certificate. I have worked both Local & International. Presently concentrate in Supply Chain & Inventory clerk with Construction industry and Production Industry. I have worked in Bank, construction and Production Company for 9 years.

Job Done & Previous Employment:

Inventory/operational clerk

Tower Scaffold Services Inc. Etobicoke. 2019

Overseeing the day to day running of the operational activities

Scheduling truck for shipment (cross boarder shipment)

Creating of picking list and generating shipping Number (Inventory software)

Creating of PO (Purchasing Order) and generating return on inventory

Receiving order from client and maintaining reports on inventory

Warehousing and Inventory Analyst. 2018.

HD Supply Construction and Industrial (Brafasco) Vaughn ON

receiving, returns, inventory, order layout, data entry,

Orders new inventory from manufacturers as needed

Analyze root causes of inventory issues and provide resolutions.

Generate and maintain monthly reports on inventory levels.

Materials handling and radio frequency equipment.

Warehouse Distribution Associate. 2018.

TJX Canada (Winners, Marshals, Home sense) –Brampton ON

Accurately selecting product according to the customer’s batch/order specifications. Product is to be organized, minimizing damage to the item, keeping paperwork attached. The picker then sends the order to the packing area to be loaded on the pack lines Packing product to various store units

Ensuring outbound shipments are accurate and free of damage. Reporting quality variances to supervisor maintaining a safe working environment. Maintain a clean, neat, and orderly work area. Recognize our customers and TJX Canada’s commitment to integrity and quality work

Accurate storing, shipping and receiving of product to meet company standards of safety, security and productivity

Line Worker/Team Lead

Fiera Foods Company Canada. 2016 – 2018.

Oversees and trains employees, including organizing, prioritizing, and scheduling production work order and work assignments. Ensures on-the-job training and safety training are conducted for employees on methods and equipment used.

Motivating the team and collaborate to contribute to overall success

Work with Q.A. department to ensure the quality of the product

Work with the team to maintain a high level of sanitation

Bank Teller/ Head Customer Service Rep.

United Bank for Africa, Lagos, Nigeria 2006.

Processed paying and receiving transactions for all product types and services

Recorded all transactions in compliance with bank procedures

Received cash and checks for deposit, verified amounts, and examined checks for endorsement

Entered transactions data into computer and issued computer-generated receipts

Cashed checks and disbursed monies after verifying signatures, endorsements and account balances



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