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Revenue Accountant

Job in Houston, Harris County, Texas, 77246, USA
Listing for: The Dow Chemical Company
Full Time position
Listed on 2026-05-27
Job specializations:
  • Finance & Banking
    Financial Analyst, Financial Reporting
  • Accounting
    Financial Analyst, Financial Reporting
Salary/Wage Range or Industry Benchmark: 60000 - 80000 USD Yearly USD 60000.00 80000.00 YEAR
Job Description & How to Apply Below

Revenue Accountant At a glance

Position: Revenue Accountant

Primary

Location:

Houston (TX, USA), Texas, United States of America

Additional Locations: Freeport (TX, USA), Midland (MI, USA), Texas City (TX, USA), Hahnville (LA, USA), Seadrift (TX, USA), Plaquemine (LA, USA) + More - Less

About Diamond Infrastructure Solutions ( website )

* This role is aligned to the Diamond Infrastructure Solutions (“Diamond Infra”) company and will be seconded from Dow to Diamond Infrastructure Solutions until January 1, 2027. At that time, the role will become directly aligned to the Diamond Infrastructure Solutions Company.*

About you and this role

Diamond Infrastructure Solutions has an exciting opportunity for a Revenue Accountant
.

As a Revenue Accounting Specialist, you will support accurate and timely accounting for trade customer revenue and 3rd party tenant billings. This role is responsible for executing core revenue processes—such as invoicing, accruals, reconciliations, and reporting—while ensuring transactions are complete, well‑supported, and compliant with accounting standards and customer/tenant contract terms. You will analyze and communicate results to business and commercial partners to support decision‑making and cash collection.

You will build strong working knowledge of key business drivers and apply established practices and sound judgment to resolve straightforward issues within defined procedures. You are also expected to provide informal guidance to other team members and explain accounting information clearly to a range of stakeholders. Your work impacts the quality and accuracy of team deliverables and requires operating within established policies, controls, and timelines.

Responsibilities

Records, monitors, reports, and communicates trade revenue accrual and customer invoicing processes to ensure timely and accurate revenue recognition.

Monitor timeliness of customer payments and partner with stakeholders to identify and resolve issues impacting cash collection.

Perform margin, variance, and trend analysis related to trade revenue and communicate insights to business management.

Help facilitate the budget setting process and monthly/quarterly estimate process.

Assist with the monthly reconciliation process for trade revenue reporting, by bringing forth issues and providing required information.

Educates functional partners on Accounting Policies and internal control matters and advises on the potential impacts of their decisions. Resolves any problems identified as they arise.

Required Qualifications

A minimum of a Bachelor’s degree (Finance or Accounting preferred) or relevant military experience at or above a U.S. E5 or Canadian Petty Officer 2nd Class or Sergeant ranking.

A minimum of 3 years of relevant working experience.

A minimum requirement for this U.S. based position is the ability to work legally in the United States. No visa sponsorship/support is available for this position, including for any type of U.S. permanent residency (green card) process.

Preferred Qualifications

CPA preferred.

Your Skills
  • Revenue Accounting & Financial Processes: Executes invoicing, accruals, reconciliations, and reporting with accuracy and in compliance with accounting standards and contract terms.
  • Analytical & Financial Insight Development: Performs margin, variance, and trend analysis, translating data into actionable insights to support business decision‑making.
  • Stakeholder Collaboration & Communication: Partners effectively across finance, commercial, and business teams while clearly explaining accounting concepts to diverse stakeholders.
  • Revenue Recognition & Internal Controls Knowledge: Applies knowledge of revenue recognition principles, internal controls, and financial reporting requirements to ensure compliant, audit‑ready outputs.
  • Contract Interpretation & Business Acumen: Interprets customer and tenant contract language and connects it to accounting treatment, cash collection, and business drivers.
  • Data & Reporting Tools (Power BI, Power Query, Access): Leverages tools to support reporting, analysis, and process efficiency.
Additional notes
  • Relocation assistance is not available with this position.
  • Locatio…
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