About Us
Refract Technologies is a pioneering technology company based in Singapore, specializing in the development of cutting-edge immersive solutions. Our focus lies in blending advanced augmented reality (AR) and mixed reality (MR) technologies to revolutionize the way people interact with digital environments. We are driven by innovation and committed to creating transformative experiences across industries, from gaming to enterprise applications. At Refract, we foster a collaborative and dynamic environment where creativity, technology, and ambition converge to shape the future of digital interactions.
The Role
As a Finance Manager at Refract Technologies, you’ll be overseeing the accounting and financial operations across multiple subsidiaries and ensuring the group’s financial stability. Working closely with the management team, you will develop and implement financial strategies, as well as provide financial insights and analysis for them to make informed business decisions. You will also be responsible for managing the financial team and ensuring compliance with financial regulations.
If you are committed to understanding and guiding internal financial decisions involving tax minimisation, risk management, budgeting, asset purchase and sales, we want to speak with you.
Responsibilities
- Monitor the day-to-day and month-end financial and accounting operations within the group.
- Drive value within the business through margin enhancement, lowering costs and driving operational efficiencies.
- Prepare consolidated quarterly management report.
- Execute accurate reporting such as monthly and quarterly management reporting, to analyse options and make financial recommendations.
- Participate in strategic data analysis, research, and modeling for senior company leadership.
- Support project analysis, validation of plans, and ad-hoc requests.
- Manage the company's financial accounting, monitoring, and reporting systems.
- Oversee and drive Cash Flow Forecasts.
- Ensure compliance with regulatory financial requirements and accounting policies by constantly keeping up to date with existing and new legislation.
- Strengthening current internal control and process improvement.
- Manage a team of finance executives to manage all accounting procedures for account results.
- Manage smooth Corporate Tax Filing.
- Oversee GST Review (Quarterly).
Traits We’re Looking For
- Ability to synthesize large quantities of complex data into actionable information.
- Commercial and business acumen.
- An excellent written and verbal communicator, who can clearly articulate ideas and information to stakeholders both at a highly technical and layman level.
- Negotiation skills and the ability to develop strong working relationships with various stakeholders.
- Ability to work and effectively communicate with senior-level business partners.
- Excellent business judgment, analytical, and decision-making skills.
- A keen eye for detail and desire to probe further into data.
- Proven ability to work under pressure and meet task deadlines.
Skills and Experience Required
- Bachelor's degree in Finance or Accounting;
- 5-8 years of experience in accounting and/or financial analysis
- Knowledge of consolidated financial reporting
- Experience using accounting software such as SAP or XERO
- Knowledge on inventory accounting
Bonus
- Experience working in a gaming or technology industry
- eXtensible Business Reporting Language (XBRL) Preparations and Filing