About Us
SharkNinja is a global product design and technology company, with a diversified portfolio of 5-star rated lifestyle solutions that positively impact people's lives in homes around the world. Powered by two trusted, global brands, Shark and Ninja , the company has a proven track record of bringing disruptive innovation to market, and developing one consumer product after another has allowed SharkNinja to enter multiple product categories, driving significant growth and market share gains. Headquartered in Needham, Massachusetts with more than 3,600+ associates, the company's products are sold at key retailers, online and offline, and through distributors around the world .
Senior Financial Accountant
Leeds / Hybrid - 3 days per week in office (LS15 8ZB)
About the role
We are seeking a highly capable Senior Financial Accountant to support our EMEA finance function. This role will play a critical part in ensuring balance sheet integrity, robust intercompany processes, accurate cashflow forecasting support, and strong contribution during audit and statutory reporting cycles. The successful candidate will work across multiple legal entities and partner closely with cross-functional teams to deliver high-quality financial information.
Balance Sheet & Financial Control
Own and perform balance sheet reconciliations across multiple legal entities, ensuring accuracy, completeness and timely resolution of reconciling items
Perform month-end reconciliations for fixed assets and intangible assets, including additions, disposals, amortisation and depreciation
Prepare and deliver monthly balance sheet analytics, highlighting risks, movements and key insights for senior stakeholders
Maintain strong financial controls and documentation to support audit requirements
Month-End & Intercompany Accounting
Manage month-end intercompany reconciliations, including investigation and resolution of variances
Post intercompany revaluations and ensure accurate related party accounting in line with group policies
Work closely with group and regional finance teams to ensure intercompany balances are aligned and settled
Cashflow & Treasury Support
Support with EMEA cashflow forecasting, working cross-functionally (FP&A, commercial, operations and treasury) to help establish reliable and well-supported assumptions
Assist with currency management, including monitoring FX exposures and revaluation impacts
Support ongoing cash monitoring, providing visibility on liquidity, risks and short-term funding needs
Audit & Statutory Support
Support the statutory reporting team during audits and peak reporting periods
Prepare audit schedules, respond to auditor queries and ensure timely resolution of issues
Assist with statutory accounts preparation where required
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