Adele Noschang
Data Management Specialist at Swisher- Claim this Profile
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Bio
Experience
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Swisher
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United States
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Chemical Manufacturing
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100 - 200 Employee
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Data Management Specialist
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Aug 2005 - Present
Maintain field contracts, company acquisitions through integrations of customer accounts, field visits and software training, new account sets-ups and cancellations, order processing. Special projects, including a 38,000 line over haul of purchasing items. Accounts receivable. Maintain field contracts, company acquisitions through integrations of customer accounts, field visits and software training, new account sets-ups and cancellations, order processing. Special projects, including a 38,000 line over haul of purchasing items. Accounts receivable.
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New Home Center
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Fairfield, OH
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Administrative Assistant
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2003 - Aug 2005
Responsible for general office duties and customer service. Maintained spread sheets, contracts, pricing and client forms. Managed accounts receivable and accounts payable for seven companies. Reconciled bank accounts. Responsible for general office duties and customer service. Maintained spread sheets, contracts, pricing and client forms. Managed accounts receivable and accounts payable for seven companies. Reconciled bank accounts.
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Jones the Florist
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Cincinnati, OH
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Accounts Receivable Specialist
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2002 - 2003
Managed accounts receivable, made daily deposits. Responsible for maintaining and reconciling petty cash, bank reconciliation, as well as cash distribution to all cash registers. Create and post daily business updates to system’s message board. Managed accounts receivable, made daily deposits. Responsible for maintaining and reconciling petty cash, bank reconciliation, as well as cash distribution to all cash registers. Create and post daily business updates to system’s message board.
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Corning Incorporated
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United States
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Glass, Ceramics and Concrete Manufacturing
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700 & Above Employee
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Accounts Payable Specialist
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1998 - 2002
Managed travel vouchers, purchase orders and vendor invoices while maintaining account reconciliations. Manage foreign wire transfers. Managed travel vouchers, purchase orders and vendor invoices while maintaining account reconciliations. Manage foreign wire transfers.
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