Eurobank - Αγγελίεσ - Θέσεισ Εργασίασ

senior financial & profitability reporting analyst

Feb 12, 2025 by 

Eurobank

Αθήνα

Αθήνα

Permanent

Χρηματοοικονομικά

On Site

Full Time

About the job

We are seeking a Senior Financial & Profitability Reporting Analyst to join our Group Financial Analysis & Profitability Reporting part of Group Finance.

 

As a Senior Financial & Profitability Treasury Reporting Analyst you will be able to acquire extensive knowledge on the area of financial & Profitability analysis, on a business Unit and product basis. The position offers an opportunity for interaction and exposure with various Group’s areas thereafter provides in depth understanding of the Bank’s business and performance.

 

Your key responsibilities will be:

  • Prepare and analyze financial performance reports related to treasury activities (KPIs, variance analysis and returns based on volumes, etc.), investment performance, and debt management including all related; information submitted to the Management.
  • Assess the profitability of treasury operations by analyzing, revenues per product and asset class, costs and financial metrics.
  • Focus on accounting treatments of all Treasury related products to assure accuracy on results, compliance with accounting standards and internal policies, and raise issues were necessary.
  • Provide actionable insights on treasury profitability performance, analyze variances between periods, present findings and recommendations, and enhance profitability.
  • Monitor actual financial performance for Global Markets & Treasury Profitability related accounting treatment, and forecast.
  • Collaborate with Treasury operations and Risk management teams, accounting and financial planning departments, to ensure cohesive & accurate reporting, as well as strategic alignment.
  • Cooperate with professional raw data, in various systems including financial software in order to streamline reporting processes and improve data accuracy. Explore the best and reliable practices to foster innovation while using financial data.
  • Participate in the preparation of Interim & Annual Report Notes incl. regulatory reports (Bog - Finrep, Elstat – Questionnaire surveys, etc.) upon areas of responsibility.
  • Prepare and provide necessary documentation to auditors and Investors relations.
  • Evaluate business needs and identify areas with significant risk and improvement necessities (eg. reporting upgrades, further automations / reconciliation procedures, etc.).

 

You will be a great candidate if you have:

  • Minimum of 6 years’ previous working experience primary in the area of treasury related accounting, financial & management reporting, analytical financial & business analysis.
  • University degree in Finance and Accounting. Postgraduate studies or Professional Certification will be considered as an additional asset.
  • Knowledge of systems: Altamira, Midland, SAP, Gatos, Oracle, Power Business Intelligence (BI), Hyperion Financial Management (HFM) System
  • Advanced skills in Excel, Power BI (Business Intelligence) Word, and PowerPoint (think cell add in) computer literacy. 
  • Knowledge of Treasury related accounting and profitability analysis, advanced controlling and problem-solving ability, accountability, teamworking skills and results orientation.
  • Ability to understand, analyze, communicate effectively, and deliver information (data – commentaries / clarifications etc.) in a clear, concise, and comprehensive manner.
  • Analytical thinking and attention to detail and numerical information, commitment to meet deadlines, and handle pressure especially in peak periods.
  • Good communication and stakeholder management skills, with excellent command of the English and Greek language.

 

What’s in it for you:

  • Competitive remuneration. 
  • Hybrid work: work-life balance through remote and in-office work.  
  • Learning & Development: 
  • Access Unlimited LinkedIn Learnings, international training methodologies 
  • Upskilling, Professional development and career guidance from successful executives. 
  • Identification and Utilization of Talent Pool through a structured Talent Management process.  
  • Wellbeing: 
  • Premium Health & Life insurance for you, your partner and/or your family and mental health support. 
  • Pension plan to support your plans and future financial expectations. 
  • Team building & wellbeing activities. 
  • Potential Extra days of annual leave (Winter Bonus).  
  • Engage in volunteering activities through our TeamUp program. 
  • Extra Benefits:
  • Exclusive discounts at partner stores. 
  • Staff pricing for banking products. 
  • Nursery and summer camp allowance for your little ones. 


Sector

Χρηματοοικονομικά

Workplace Type

On Site

Employment Type

Permanent

Work Type

Full Time

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