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| Thống kê kết quả liên hệ của các nhà tuyển dụng | Số lượt | Thời gian liên hệ gần nhất |
|---|---|---|
| Liên hệ thành công | 0 | Chưa có |
| Liên hệ không thành công | 0 | Chưa có |
Từ 1 đến 3 năm
Nhân viên
8 - 12 triệu
Đà Nẵng
Tiếng Anh (Khá)
4 sao
Giới thiệu bản thân
Trình độ học vấn chuyên môn
Kĩ năng
Kinh nghiệm làm việc
Cashier tại Brilliant Hotel
2/2025 → / (1 năm )
Việt Nam
Proficiently operate Point of Sale (POS) systems and payment processing equipment. Process customer transactions accurately, including cash, credit/debit cards, and electronic payment methods. Ensure precision in receiving payments, issuing correct change, and generating receipts. Verify invoices to confirm accuracy of charges for food, beverages, or services, minimizing discrepancies. Accurately input customer orders into the POS system for proper transaction recording. Collaborate with servers and bartenders to ensure orders are processed correctly and efficiently. Resolve payment-related issues promptly and effectively, maintaining financial accuracy. Perform cash reconciliation during shifts, ensuring cash balances align with transaction records and preparing end-of-shift reports. Report any discrepancies or issues related to transactions or the payment system to management.
Accounting Intern tại Starlight Cinema
6/2024 → 12/2024 (5 tháng)
Việt Nam
Proficient in Fast Accounting software and Misa menlnvoice software. Accurately input and process sales and purchase invoices to ensure precise financial records. Systematically record sales revenue to support revenue recognition and financial reporting. Diligently document purchase invoices to maintain accurate accounts payable records. Efficiently manage and record material and goods warehouse release slips for inventory control. Meticulously record payroll expenses for Starlight’s branch centers, ensuring compliance with accounting standards. Track and allocate electricity, water, and rental expenses for branch centers to maintain accurate cost accounting. Methodically record bank and cash transactions to ensure robust cash flow monitoring and reconciliation.



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