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Chief Accountant- Revenue

Dubai Careers - A Smart Dubai Initiative
Dubai, UAE
fulltime
Mid-Senior
4 days ago
IFRSGAAPAuditTaxFinancial ReportingBookkeeping
Free

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Strategy

  • Oversee the Authority-wide revenue accounting records in line with legislation, ensuring full traceability and accuracy.
  • Establish and manage comprehensive receivables analysis including ageing, accounts receivable (AR) analysis and audit/risk reporting frameworks beyond statutory recording.

Operations

  • Administer and reconcile AR–GL/system interfaces (Government Resource Planning (GRP), vouchers, amendments), ensuring data integrity and timely discrepancy resolution.
  • Oversee system reconciliation, account reconciliation and refund processing across RTA agencies and sectors
  • Oversee monthly and annual closure of the receipts system, ensuring completeness and accuracy of all transactions.
  • Supervise technical regulations related to Authority revenues and set financial procedures for new revenue systems.
  • Ensure operational billing and prompt recording of all receivables.
  • Review and approve AR ageing reports, highlighting outstanding balances and providing explanations where applicable.
  • Maintain receivable records and documentation to ensure collections are processed on time and in compliance with policies.

Product / Process Improvement

  • Recommend and implement enhancements to receivable processes, revenue governance frameworks, and system integration to improve accuracy, compliance, and efficiency.
  • Develop improved reconciliation and reporting methodologies to strengthen financial control and support decision-making.
  • Lead initiatives to refine collection governance, ensuring timely collection controls and proactive risk management.

Qualifications

  • Bachelor's degree/ Master’s degree in Finance
  • 0-1 Years in case of Master’s degree (2+ years in case of Bachelor’s degree)
  • Proficiency in accounting and reconciliation processes
  • Experience in managing accounts, transactions, and financial operations
  • Skilled in advanced analytics and data automation for financial insights
  • Knowledge of anti‑fraud practices, controls, and regulatory compliance
  • Ability to perform audits and implement strong internal controls
  • Competence in budget preparation and financial planning
  • Expertise in business process management and optimization
  • Strong data analysis, reporting, and data management capabilities
  • Understanding of digital payment ecosystem management and financial technology systems
  • Proficiency in enterprise financial systems administration and coordination
  • Experience in preparing accurate financial reporting and analysis
  • In‑depth knowledge of legislative compliance and financial regulations
  • Ability to manage and optimize revenue streams effectively

Schedule-Time

Full time

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