Bilal Noor, Senior Accountant

Bilal Noor

Senior Accountant

Ibrize Al Sharq

Location
Saudi Arabia
Education
Master's degree, Finance
Experience
12 years, 8 Months

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Work Experience

Total years of experience :12 years, 8 Months

Senior Accountant at Ibrize Al Sharq
  • Saudi Arabia - Dammam
  • My current job since May 2016

• Preparation of monthly financial reports covering balance sheet, profit and loss, internal management reports, and cash flow statements
• Managing the general ledger including overseeing the monthly balance sheet, banking, and inter-company reconciliations
• Completion of the monthly accruals, journals, fixed assets, and depreciation schedules
• Supervision any Accounts Payable and Accounts Receivable staff
• Daily cash flow management and give recommendation to finance Manager
• Initiating all types of LCs (Export/Import).
• Timely collection and submission of CAD/IBC.
• Reporting and reconciliation of bank facility utilization.
• Investigate and respond to any enquiries received from bank
• Managing foreign currency exposure and foreign currency payments
• Preparation of Monthly VAT report and ensuring payment of VAT
• Document financial transactions by entering account information
• Recommend financial actions by analysing accounting options
• Reconcile financial discrepancies by collecting and analysing account information
• Verify, allocate, post, and reconcile transactions
• Support month-end and year-end closing process
• Responding to financial inquiries by gathering and interpreting data
• Facilitate to Internal and External Auditors

Accounts receivable Accountant at SAUDI FILTER (RASHID Al RASHID GROUP)
  • Saudi Arabia - Dammam
  • March 2013 to May 2016

• Follow up on payment with internal and external stakeholders and ensuring correct booking of received payments.
• Preparing bank reconciliations, ageing report and Statement of Accounts.
• Proactively engaging in continuous improvement initiatives for the AR process.
• Supporting internal and external audit requirements.
• Manging the credit facility of customers.
• Maintaining accounts receivable files and records
• compile data and prepare monthly reports and statements
• determine payment schedules with customers
• contact delinquent customers to secure payment
• Investigating and resolving any irregularities or enquiries

ACCOUNTANT at Nestle (DRDF USAID project at Pakistan)
  • Pakistan - Lahore
  • August 2011 to January 2013

• Manage obligations to suppliers, customers, and third-party vendors
• Process bank deposits
• Reconcile financial statements
• Prepare, send and store invoices
• Contact clients and send reminders to ensure timely payments
• Submit tax forms
• Identify and address discrepancies
• Report on the status of accounts payable and receivable
• Update internal accounting databases and spreadsheetses.

Education

Master's degree, Finance
  • at Virtual University Pakistan
  • January 2011
Bachelor's degree, FINANCIAL ACCOUNTING,COST ACCOUNTING,AUDITING ,TAX
  • at Punjab University Lahore
  • January 2008
High school or equivalent, MATHEMATICS,PHYSICS,
  • at Board of Intermediate and secondary
  • January 2006
High school or equivalent, MATH,PHUSICS,ENGLISH
  • at Board of Intermediate and secondary
  • January 2003

Specialties & Skills

Accountancy
MICROSOFT MAIL
ACCOUNTANCY
BILLING SYSTEMS
DOCUMENTATION
DATA ENTRY
CLOSING
BILLING
BALANCE
ACCOUNTING

Languages

Arabic
Intermediate
English
Intermediate
Urdu
Expert