Head of Markets and Treasury Back Officer
Head of Markets Reporting & Accounting Services
Description
We are seeking for a talented, goal-oriented individual, with solid knowledge of Finance and Accounting, to join our team as Head of Markets Reporting & Accounting Services Unit within Eurobank’s Markets & Funds Operations. Markets Reporting & Accounting Services Unit is responsible for Treasury P/L reporting (Greece and Intl. Subsidiaries), reconciliation of Treasury Products related general ledger accounts, preparation of relevant regulatory and other financial reports, as well as the support of Treasury related operations of SPV companies. In your role as Head of Markets Reporting & Accounting Services Unit you will be responsible for a team of circa 6 individuals, overseeing the day-to-day operations, ensuring high quality services, and cooperating closely with the Bank’s Markets & Treasury, Market Risk and Finance Units.
Your key responsibilities will be:
- Coordination of Unit tasks, ensuring work is carried out in accordance with Bank and Unit policies and procedures and that deadlines are met.
- Controlling reports and reconciliations.
- Communication with cooperating units and subsidiaries.
- Solving issues and taking initiatives for the most efficient operation of the Unit.
- Representation of the unit in meetings and coordination of Unit’s participation in projects.
- Recording of specifications for systemic implementations related to Treasury Products accounting & reporting.
- Presentation of P/L results to Markets & Treasury and Market Risk Heads – provide clarifications and volatility justifications.
- Preparation of various analysis related to hedging and P/L for Joint Head Supervisory Teams of ECB.
- Co-operate with internal and external auditors.
You will be a great candidate for us if you:
- Hold a Bachelor and/or postgraduate degree in Finance, Accounting, or a quantitative field of study.
- Related professional qualifications (i.e. ACCA, CFA) completed or in progress will be highly appreciated.
- Have a solid understanding of investment products (Bonds, OTC Derivatives, FX products etc.) and accounting principles IAS/IFRS.
- Have min 6 years relevant professional experience.
- Are Proficient of the MS Office suite, with emphasis in MS Excel.
- Are fluent in English language.
- Have strong interpersonal and communication skills, collaborative spirit, agility, and can-do attitude.
And you share the same Value Based Behaviors:
- Learn & self-improve with every opportunity.
- Bring high impact results.
- Build mutually beneficial relationships when interacts with clients or colleagues.
- Bring people around to your idea, solution, or direction.
- Develop new solutions, minimize complexity.
- Gain other people's trust.
Benefits
- Competitive remuneration to the rest of the market.
- Benefits for your health, your family, your plans and your future financial expectations
- Hybrid working environment.
- Ongoing learning offerings: Unlimited LinkedIn Learnings, international training methodologies and modern educational systems.
- Opportunities for professional development and career guidance so you may develop every aspect of your professional life.
- Experience next to successful executives.
- Volunteering activities through our dedicated TeamUp program.
Application deadline: 17/12/2025
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