Financial & Profitability Reporting Analyst
Why Eurobank?
Are you enthusiastic about having a positive impact and working with a great team?
Join us at Eurobank where Prosperity needs Pioneers! You will belong in a banking community that drives innovation, strives to exceed customers’ expectations, commits to sustainable practices, and combines global insights with local expertise to deliver exceptional value to all our stakeholders. Take advantage of multiple learning & development opportunities, flexible work arrangements, and a workplace where you will feel valued and respected!
But hold on! We’re looking for more than just a great CV: We’re looking for your unique personality.
Apply today and be part of a team as unique as you!
Position Overview
We are seeking a Financial & Profitability Reporting Analyst to join our Group Financial Analysis & Profitability Reporting part of Group Financial Analysis, Planning & Regulatory Reporting within Group Finance.
By joining this role, you’ll be, responsible for providing financial and business profitability information regarding Group operating results and other profitability and performance measurements to the Management, to various Units and Entities of the Group.
As a Financial & Profitability 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:
- Participate in the preparation of the Group’s consolidated Financial and Profitability results and in the preparation of Interim & Annual Report Notes incl. regulatory reports. Handle ad hoc projects upon Financial, Profitability reporting, and Management or Market needs and Evaluate business needs and identify areas with significant risk and improvement necessities
- Provide actionable insights on profitability performance, prepare all relative KPIs, provide and analyze variances between periods, present findings and recommendations, and enhance profitability.
- Categorize all costs from both IFRS and management perspectives, reconcile the differences in accounting treatments (e.g., capitalized vs. expensed, timing of recognition). Analyze operating costs into detailed categories of personnel, administrative and depreciation costs along with relative financial metrics. Identify cost drivers, track trends over time, spot inefficiencies, and benchmarking against peers.
- Review accounting information to assure accuracy on results, compliance with accounting / IFRS standards and internal policies, and raise issues were necessary.
- Collaborate with the business units and various entities of the Group, to ensure cohesive & accurate reporting, as well as strategic alignment by preparing and providing necessary documentation to auditors and Investors relations.
You will be a great candidate if you:
- Have minimum 5 years experience primary in financial & management reporting, as well as analytical financial & business analysis.
- Hold a Bachelor degree in Finance and Accounting with postgraduate studies.
- Have Knowledge of Profitability analysis, and International Financial Reporting Standards (IFRS) as well as Professional Certifications are considered an asset.
- Knowledge of systems such as Altamira, Midland, SAP, Oracle, Power Business Intelligence (BI), Hyperion Financial Management (HFM) System.
- Are Proficient in MS Office suite specially in Excel, Power BI (Business Intelligence). Extensive emphasis on managing / controlling oversized data in excel environment and execute numerical analysis, are prerequisites.
- Genuine interest in data analytics, along with experience in reconciliation processes and reasonability exercises. Ability to interpret, analyze, and communicate complex information.
- Strong analytical thinking, attention to detail, and ability to manage numerical data, while meeting deadlines, especially under pressure during peak periods.
- Solid Knowledge of accounting principles, profitability analysis, advanced controlling, problem-solving, accountability, teamworking, communication skills and results orientation.
- Are fluent in English and Greek language.
- Have strong interpersonal and communication skills, collaborative spirit, agility, and can-do attitude.
What’s in it for you:
- Competitive remuneration.
- Hybrid work: work-life balance through remote and in-office work.
- Learning & Development:
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- Access Unlimited Udemy 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:
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- 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:
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- Exclusive discounts at partner stores.
- Staff pricing for banking products.
- Nursery and summer camp allowance for your little ones.
Join us!
If you think you are the right fit for this role, we'd like to hear from you! Apply by 25/08/2025.
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At Eurobank we are committed to providing equal employment opportunities and prohibit all forms of discrimination. All applicants will be treated fairly and with the utmost confidentiality.