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R E L D

Location:
LaSalle, QC, Canada
Posted:
September 06, 2024

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Resume:

AMIT

RANA

= ****.********@*****.***

& +1-514-***-****

* ********, ** ******

SKILLS

+ Customer Response

+ Training and mentoring

+ Inventory Control

+ Store Merchandising

+ Customer Relations

+ Team Building and

Leadership

+ Staff Supervision

+ Opening and closing

procedures

+ Team motivation

+ Store operations

+ Relationship building and

management

+ Month-end reports

+ Bank Reconciliation

+ Journal Entries

+ Attention to Detail

+ Documentation And

Reporting

+ Client Relations

EDUCATION

Lester B. Pearson High

School

Montréal-Nord, QC +

Expected in 04/2026

High School Diploma

CERTIFICATIONS

+ ORANE INTERNATIONAL

Training

+ Computer Operator ]

PROFESSIONAL SUMMARY

Dynamic leader with proven expertise in inventory control

and customer relations, honed at SODHI SUPERMARKET.

Excelled in team building and leadership, significantly

enhancing customer satisfaction. Skilled in bank

reconciliation and financial reporting, demonstrating

meticulous attention to detail. Achieved streamlined

operations and positive client relationships through effective

training and mentoring.

WORK HISTORY

SODHI SUPERMARKET - Store Manager

INDIA + 03/2022 - 12/2023

+ Managed inventory control, cash control, and store opening

and closing procedures.

+ Managed daily operations to ensure smooth functioning of

the store, maintaining a clean, safe environment for

customers and employees.

+ Addressed customer complaints promptly and

professionally, resolving issues to maintain positive

relationships with clientele.

+ Coached sales associates in product specifications, sales

incentives, and selling techniques, significantly increasing

customer satisfaction ratings.

+ Maintained proper product levels and inventory controls for

merchandise and organized backroom to facilitate effective

ordering and stock rotation.

SEHGAL HONDA AGENCY - Assistant Accountant

INDIA + 07/2022 - 02/2023

+ Maintained detailed financial records of accounts

receivable and payable status and bank reconciliations.

Improved financial accuracy by conducting thorough

account reconciliations and adjusting journal entries.

+ Assisted with monthly and quarterly income statements,

balance sheets and cash flow reports to inform decision-

makers.

+ Facilitated month-end and year-end closing processed to

support accuracy and completeness of financial reports.

LANGUAGES

English Hindi

Full Professional Full Professional i

Punjabi French

Full Professional Fe ene



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