Exporting Resumes of diverse domains from LinkedIn, Gulf Talent and Bayt, segregating their contact details separately, along with their level of experience and domain in excel files.
Exporting reports from IBM Digital Analytics (Coremetrics), Google Analytics, Access Database and Client Made Custom Database Retail Ideas and based on predefined templates consolidating them and analyzing data.
Compares two sources of data as displayed on screen, check to see if they are matching with a reasonable variance or is beyond that using Excel formulas.
Using macros to format data to fit in specific excel sheet template.
Data entry in automated online systems.
Determining the cause of error message while entering data and makes appropriate corrections.
Reconciles transactions, financial data, and other information to an automated Accounting system.
Receive Cash, Making Invoices & Vouchers.
Making Daily Trial Balance.
Recovery from Walking Client or Agents.
Making and Receiving Vouchers files.
Cash Book maintenance.
Maintaining Daily Petty Cash files.
Depositing Cash and cheques into the bank.
Receives, stores, and issues supplies & equipment, Compiles records of supply transactions aboard ship: Verifies that supplies received are listed on requisitions and invoices.
Maintaining Stores supplies and equipment in storerooms.
Fills supply requisitions; assists buyer to order adequate merchandise and supplies; delivers orders to Faculty and staff.
Verifies ledgers, statements and supporting documents.
Communicates with others in order to receive or transmit information.