Mary Abdallah
Accounts Receivable Technician at WATERAX- Claim this Profile
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Bio
Experience
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WATERAX
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Canada
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Public Safety
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1 - 100 Employee
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Accounts Receivable Technician
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Sep 2018 - Present
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Luxury Retreats
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Canada
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Travel Arrangements
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1 - 100 Employee
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Financial Administrator
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May 2017 - Dec 2017
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Tornatech
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Canada
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Appliances, Electrical, and Electronics Manufacturing
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1 - 100 Employee
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Accounting Clerk
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Jul 2016 - Apr 2017
Accounts Payable Essential Functions: o Matches packing slips and way bills with purchases invoices. o Records transport and inventory invoices in Simply Accounting (sage 300). o Match the checks to the invoices that have to be paid. Accounts Receivable Essential Functions: o Matches invoices to received customer deposits. o Prepares deposit sheets for recording the receipt entry. o Performs receipt entry into sage 300 systems. o Maintain filing of sales invoices, payment documents and reports. Miscellaneous functions: o Opens, distributes mail and prepare out mail to be sent out. o Prepare checks for mailing and filing paid checks. Show less
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Pharmaprix
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Pharmaceutical Manufacturing
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700 & Above Employee
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Lab. technician and Cashier,
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Nov 2015 - Nov 2016
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Traitement Postal Express Inc
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Montreal, Canada Area
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Data Entry Clerk
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2015 - 2015
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Traitement Postal Express Inc
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Montreal, Canada Area
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Mailing Clerk
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2012 - 2013
o Opened envelopes by hand or machine. o Folded letters and other documents and inserted them into envelopes for distribution. o Opened envelopes by hand or machine. o Folded letters and other documents and inserted them into envelopes for distribution.
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Pharmaoverseas
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Pharmaceutical Manufacturing
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100 - 200 Employee
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Customer Service Representative
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2010 - 2011
o Resolved customer complaints via phone and email by performing activities such as exchanging merchandise, refunding money, and adjusting bills. o Sold products and services. o Checked to ensure that appropriate changes were made to settle customers' problems. o Resolved customer complaints via phone and email by performing activities such as exchanging merchandise, refunding money, and adjusting bills. o Sold products and services. o Checked to ensure that appropriate changes were made to settle customers' problems.
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Education
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CEGEP - John Abbott College
A.E.C., Computerized Financial Management -
Cairo University
Bachelor of Commerce (B.Com.), Accountancy Department