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Matias C. — Junior Administrative Assistant from Paraguay

Matias C.

Junior Administrative Assistant

Paraguay 3-6 years
Open to offersNew to Platform
Languages
EnglishSpanish
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About

Matias B. is a detail-focused administrative professional with substantial experience in financial services and the wellness industry. In his role at Serendipia Spa, he managed client scheduling, processed payments, and performed financial reporting using Excel to track sales, commissions, and organize digital documentation. His responsibilities included maintaining income and expense reports, generating invoices, and coordinating with suppliers and finance teams. Previously, at Cooperativa Nuevo Horizonte, Matias provided support as an Administrative and Treasury Assistant, where he utilized Excel to organize financial data, handled promissory notes, performed cash control, conducted basic bank account reconciliation, and processed transactions. Bilingual in Spanish and English, he is recognized for accurate recordkeeping and supporting administrative workflows across remote and on-site environments.

Experience

  • Customer Service | Cashier / Basic Finance | Administration | Data Entry | Internal Management

    Serendipia Spa · 2023 — 2025
    Scheduled client appointments and coordinated various services. Generated invoices and processed payments. Documented sales and commissions in Excel, including daily report preparation. Managed gift card transactions and tracked pending payments. Maintained reports on income and expenses. Collaborated with suppliers and communicated with the accounting team via digital reporting.
  • Administrative Assistant | Treasury Assistant | Customer Service

    Cooperativa Nuevo Horizonte · 2020 — 2022
    Created and organized spreadsheets for promissory notes in Excel to track financial information. Sorted and printed documents for streamlined access. Responded to calls concerning loans and customer inquiries. Conducted deposits at the National Development Bank (BNF). Supported logistical operations, including counting and transporting products. Delivered salary deduction forms to public institutions. Handled cash control and recorded transactions, ensuring meticulous bank account reconciliation.

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