CEDRICK ESQUIBEL
PO Box **** San Felipe Pueblo, New Mexico 87001
WORK EXPERIENCE: Cochiti Pueblo Golf Club - Maintenance Worker
Cochiti Lake 87083
Supervisor Kevin 505-***-****
Operate machinery and small equipment as it pertains to maintaining a golf course and building maintenance. Operate power tools and safety equipment for cleaning inside/outside the building.
Chief Building Services - Security Officer
7801 Lange Avenue, NE
Albuquerque, New Mexico 87109
Supervisor Rick 505-***-****
Secured premises and personnel by patrolling property; monitoring patrons for their safety; inspecting buildings, equipment, and access points, vigilant for suspicious activity and rule infractions.
San Felipe Travel Center - Security Officer/Cashier
26 Hagon Road
Algodones, New Mexico 87001
Supervisor Donovan Tenorio 505-***-****
Secured premises and personnel by patrolling property; monitoring patrons for their safety; inspecting buildings, equipment, and access points, vigilant for suspicious activity and rule infractions
Received payments by cash, check, credit cards, or automatic debits. Issued receipts, refunds, credits, or change due to customers. Count money in cash drawers at the beginning of shifts to ensure that amounts are correct and that there is adequate change.
Gerald Tex Fox Justice Center - Juvenile Corrections Officer
603 1st Street
New Town, North Dakota 58763
Supervisor Ana Bird Bear 701-***-****
Enforced rules and regulations. Maintained security by preventing disturbances, assaults, and escapes. Supervised the daily activities of juvenile inmates, ensuring that inmates obey the rules.
4 Bears Casino and Lodge - Security Officer
202 Frontage Road
New Town, North Dakota 58763
Secured premises and personnel by patrolling property; monitoring patrons for their safety; inspecting buildings, equipment, and access points, vigilant for suspicious activity and rule infractions
Giant Industries - Cashier
San Ysidro, New Mexico
23238 US 550 87503
Received payments by cash, check, credit cards, or automatic debits. Issued receipts, refunds, credits, or change due to customers. Count money in cash drawers at the beginning of shifts to ensure that amounts are correct and that there is adequate change.