MUSTAPHA
FUNMILOLA
ABIDEMI
*, ******* ****** ********* *** Stop,
Iju Ishaga, Lagos.
E-mail: Funmijolajohn28@ gmail.com
Tel: 081********, 070********
PERSONAL INFORMATION
Nigerian
EDUCATION
e Lagos State Polytechnic, Ikorodu
National Diploma in Accounting (ND)
2007 - 2009
* State High School, Alimosho
Senior school Certificate
Examination (SSCE) 1998 - 2003
e Neweds Nursery and Primary
School, Alimosho, Lagos
(First School Leaving Certificate)
1991-1997
HOBBIES AND INTEREST
e Fitness and Sport
REFEREE
e Available on Request
Daca % nts
SUMMARY
To seek an environment with an establishment, I can exhibit my
natural skill for attainment of cooperate mission and vision for
continued growth and service delivery.
Funmilola is dedicated, hardworking and seasoned individual with
Proven success working as a team in a multi-discipline environment
under pressure to achieve results.
WORK EXPERIENCE
Assistant Laboratory Technician 2018 - PRESENT
Nestle Nigeria Pic, Agbara
Teacher 2014 - 2017
Great Stars Academy, Lagos
Customer Service Officer 2010 - 2012
Sterling Bank, Lagos
Account Officer 2012 - 2014
Mercury Microfinance Bank, Lagos
EL
Cleaning and updating of equipment in the laboratory
Washing and cleaning of all used test tools in the
laboratory
Registration of samples in the daily log records.
Daily cleaning and internal control plan for Laboratory
equipment
Reception of external samples from other Factory in
the Company’s West Africa Region
Sampling of semi-finished (Halb) and finished product
(Fert) for routine analysis
Teaching and impacting of knowledge basically in
management subjects such as Accounting,
Commerce, Economics, Business studies and
Insurance.
Carrying out of cash count in cash office and account
office to determine the accuracy of the cash in the
custody
Verification of all sorts of lodgments carry out by
cashier through tellers in the cash book.
Preparation of monthly reports to the management
Industrial training in cash office such as bulk
counting, teller registration, cash movement, cash
payment and receipt.
Investigation of various books of account such as
invoices, bills, waybills vouchers etc.
Account opening registration.
Correction of errors on customers account, such as
error of omission, commission, double entry etc.
Cross checking of inwards and outwards movement of
cash.