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High School Accounting

Location:
Colfax, NC
Posted:
April 03, 2014

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Resume:

JACQUATA .R. LEATHERS

**** ******* *** ***.

Matthews, NC 28105

704-***-****

*************@*****.***

OBJECTIVE: Seeking a position as a Logistics Clerk for GDKN Corporation.

SUMMARY OF QUALIFICATIONS:

. Logistics Support, Planning & Execution

. Conflict Resolution

. Personnel Organization & Supervision

. Detail Oriented

. Maintained direct accountability for more than $200,000 in military

supplies and equipment

. Directly supervised, trained and mentored soldiers

EDUCATION: Broughton High School Raleigh, NC Diploma

US Army Ft Lee, VA

Basic/Automated Logistical SPC

EMPLOYMENT HISTORY:

2011- 2013 Supply Clerk Signal

Maintenance Shop, Ft Hood, TX

Established and maintained stock records and other

documents such as inventory, materiel control,

accounting and supply reports. Created and maintained

automated and manual accounting records, post

receipts and turn-ins, and perform dues-in, dues-out

accounting. Reviewed and verified quantities received

against bills of lading, contracts, purchase

requests, and shipping documents. Would unload,

unpack, visually inspect, count, segregate,

palletize, and store incoming supplies and equipment.

Maintains stock locator system and administers

document control procedures.

2010-2011 Stock Control Clerk Warehouse

Suwon, Korea

Repaired and constructed fiberboard, wooden

containers. Packed, crates, stencils, weighs, and

bands equipment and supplies. Constructed bins,

shelving, and other storage aids. Processed requests

and turn-in documents at direct support level through

warehousing documents. Performed prescribed load list

(PLL) and shop stock list (SSL) duties in manual and

automated supply applications. Prepared, annotated

and distributed shipping documents. Operated Material

handling equipment (MHE).

2008-2010

Cashier Panera Bread, Raleigh NC

Answered customer questions, and provided information

on procedures or policies. Bag, box, wrap, or gift-

wrap merchandise, and prepare packages for shipment.

Compute and record totals of transactions.

Count money in cash drawers at the beginning of

shifts to ensure that amounts are correct and that

there is adequate change.

Greet customers entering establishments.

Issue receipts, refunds, credits, or change due to

customers.



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