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Administrative Assistant Management

Chicago, IL
April 18, 2016

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Halima Siddiq

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

H: 647-***-****

Professional Summary

Seeking a position, where I can contribute my administrative and analytical skills to achieve the company goals.

Interpersonal Skills

Honest, reliable, and hard working

Strong work ethic and dedication to meet the goals of both employer and client

Solid verbal communication, time management, organizational and interpersonal skills

Strong and proven leadership skills

Ability in professional telephone manners, and in general office duties.

Computer Skills

Data handling

Design Charts

Microsoft office and applications

Keyboarding at speed in between 50-70 wpm


2014 Certificate in Administrative Management Humber Institute of Etobicoke, ON

Technology and Advanced Learning

2012 Diploma: Business Management

Business Management Humber Institute of Technology and Etobicoke, ON

advanced Learning


June 2013 – August 2013

Shimla Food

Administrative Assistant

Interview callers, arranges appointments and handles office details

Proficiency in verbal and written communicator, adept at drafting correspondence

Copied and filed documents so that work was correctly documented and al files are complete

Calculate, prepare, and also issue bills, invoices, account statements, and also other financial statements according to established procedures

Ordered supplies, maintained inventory and informed senior for inventory discrepancies

Followed up with clients regarding payments

Responsible for management all credit cards, debit cards and cash transactions

June 2006 – November 2015

Tim Horton


Greet customers, take their orders by offering them special deals, and prepare bills

Help new employees that have been hired

Experienced at organizing and taking action when needed

Proven competence in working with others to focus activity on continuous improvement and cost effective value added work

Ability to deal with large amount of transactions

Balanced transaction at the end of the day for cash reconciliation

References Available upon Request

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