Bilal Mir
Project Accountant at Webuild- Claim this Profile
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English Full professional proficiency
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Urdu Native or bilingual proficiency
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Punjabi Native or bilingual proficiency
Topline Score
Bio
Credentials
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Provisional Member
Chartered Accountants Australia and New ZealandApr, 2020- Nov, 2024 -
ACCA
ACCADec, 2012- Nov, 2024
Experience
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Webuild
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Italy
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Construction
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700 & Above Employee
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Project Accountant
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Dec 2022 - Present
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Branch Accountant
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Feb 2022 - Feb 2023
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Hall Chadwick
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Australia
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Accounting
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100 - 200 Employee
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Accountant
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Nov 2020 - Feb 2022
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Assistant Accountant
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Feb 2018 - Jun 2020
The core focus of this contract was to provide liaison in business expansion and work alongside a team of business and finance professionals. A complete understanding of business structure from clearing back logs to assisting in business operations. Specific responsibilities include. Achievements • Issued invoices and chased overdue customers. • Received and processed purchase orders • Performed bank reconciliation and month-end reporting. • Encoded accounting entries and generated product codes in FreshBooks accounting system • Performed debtor’s age analysis and customer follow up. • Performed payroll calculation and maintained employees expense account • Calculated GST and prepared BAS • Updating and recorded customer data base in FreshBooks accounting system for expansion in Queensland • Maintained transactions in FreshBooks accounting system such as invoices, bills, and accounts payable and receivable. Successfully updated the customer database within the deadline.
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Salini Impregilo
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Italy
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Construction
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700 & Above Employee
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Warehouse Accountant
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Jun 2017 - Dec 2017
• Receiving material form supplier, checking delivery docket against purchase orders • Communicated discrepancies and requesting credit notes from suppliers • Forwarded delivery dockets and relevant credit notes to warehouse accountant for processing • Arranged deliveries to the relevant area of the projects • Conducted audit procedures and prepared reports on suppliers and hired companies (PremiAir, Metal Merchant) • Inventory management; ordering, receiving, stock take, writing off obsolete inventory • Successfully off hired and sold equipment (Cranes, Telehandler, Scaffolding, Generators, Larzep hydraulics, Power tools, Storage containers) worth $150,000+ AUD • Initiated and completed due diligence on existing contracts that resulted in 30,000+ AUD saving. • Successfully transferred equipment worth $80,000+ AUD to next project (Perth).
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Bookkeeper
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Feb 2015 - Jun 2016
Worked as a Bookkeeper in a small transport company. Adzan provides medical supplies delivery services for Clifford Hallam Healthcare and Australian Pharmaceutical Industry. Achievements • Prepared balance sheet and profit & loss statement • Invoiced Clifford Hallam Healthcare and Australian Pharmaceutical Industry for backup runs and urgent deliveries according to the contract • Performed journal entries for income and payments and posting to ledger accounts • Managed day to day accounting transaction • Processed payroll including one-off payment and maintained employee records • Maintained current asset position, calculating depreciation and recording in financial statements • Performed bank reconciliation • Maintained Petty cash and petty cash reconciliation
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Askari Commercial Bank Limited
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Banking
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200 - 300 Employee
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Internship
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Nov 2012 - Jan 2013
The core focus of this position was to work alongside a number of banking and finance professionals within the general banking area; this included assisting with general banking and administration tasks, which contributed to developing a sound understanding of general banking operations and transactions. Specific responsibilities included: - Tracking compliance with reporting requirements - Performing bank reconciliation and cheque clearance using Oracle - Preparing work sheets under auditor’s supervision - Observing physical inventory count under supervision - Contacting customers for payment deadlines
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Internship
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Jun 2011 - Jun 2012
Worked alongside highly experienced and qualified accounting professionals on various bookkeeping and audit assignments Achievements • Assisted coordinators with financial reports. • Performed journal entries using Oracle. • Performed balance sheet reconciliation. • Audited selected areas of balance sheet and income statement under supervision. • Contacted clients and followed up with reporting deadlines. • Provided data and insights via research to inform licensed auditors' risk assessments. • Reviewed clients' internal control to assess for compliance and signs of fraud.
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Education
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King's Own Institute
Master’s Degree, Accounting and Finance -
ACCA
Professional Certification, Accounting and Finance, Audit, Taxation