About the job
Please be advised that we will never ask for payment or bank account details at any point during the recruitment process. As we continue to expand our teams, we encourage you to be vigilant against fraudulent job postings or recruitment activities that misuse our company name and information. Please safeguard your personal data throughout the recruitment process. While Monks may reach out to potential candidates via LinkedIn, all applications must be submitted through our official website (monks.com/careers).
About Monks
Monks is a leading global creative production company that collaborates with clients across diverse industries to deliver exceptional content and campaigns. Our integrated production capabilities encompass a wide array of services designed to meet the unique needs of our partners, from creative strategy to content creation and technological development. With a talented in-house team of over 5,000 professionals, we operate seamlessly across teams, time zones, and technologies, ensuring outstanding results for our clients.
Role Overview
The Financial Controlling team at Monks manages the financial oversight for our APAC entities, including the monthly consolidation of various practices and their divisional outcomes. This role requires close collaboration with multiple departments such as local finance teams, the S4 group team, FP&A, MDs, tax, legal, and HR. As a Finance Manager, you will hold financial controlling responsibilities for various APAC entities and engage with global finance teams from the US, LATAM, APAC, and EMEA during the monthly consolidation process. Your focus will be on financial reporting, process enhancement, and integration aligned with company acquisitions. This position reports directly to the APAC Financial Controller based in Singapore.
Key Responsibilities:
- Provide guidance and support to the local APAC accounting team to ensure timely and accurate financial reporting for entities within your purview.
- Analyze and review monthly reporting packages for various company groups, liaising with local finance teams to ensure accuracy.
- Lead the monthly consolidation process and intercompany reconciliations, reporting to the S4 group team.
- Act as the primary point of contact for financial queries and reporting.
