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Structuring & XVA Officer

Company:  EUROBANK
Posting Date:  18 Sept 2026
Location:  Athens

 

 

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 Structuring & XVA Officer to join our Structuring & XVA Desk within Global Markets.

The Structuring & XVA Desk sits at the intersection of Markets Sales, Trading and risk management, developing tailored investment and hedging solutions across asset classes while supporting the pricing, execution and risk management of the Bank’s derivatives and structured-products activity.

As a Structuring & XVA Officer, you will work closely with Sales and Trading to structure, price and execute derivatives and structured solutions, primarily for Corporate and Private Banking clients. The role combines quantitative analysis with commercial judgement and offers broad exposure to financial markets, with particular emphasis on Equity and Interest Rate products.

You will also contribute to the management of the Bank’s XVA exposures, including CVA, FVA and MVA, and develop an understanding of how counterparty risk, collateral, funding and transaction structure affect derivatives pricing and economics.

The position provides an opportunity to gain hands-on experience across the full lifecycle of derivatives and structured transactions, from idea generation and pricing through execution and subsequent risk management.

Upon joining our team, you will be expected to demonstrate strong analytical thinking, intellectual curiosity, initiative and a collaborative mindset, while being comfortable working in a quantitative and fast-moving Markets environment.

 

Your key responsibilities will be:

  • Structure and price derivatives and structured solutions, with particular emphasis on Equity and Interest Rate products, supporting clients' investment and hedging requirements.
  • Develop tailored hedging and structured-product proposals for Corporate and Institutional clients, working closely with Sales to translate client requirements into commercially relevant solutions.
  • Execute structured products and derivatives transactions in the primary and secondary interbank markets and develop strong working relationships with international counterparties.
  • Analyse transaction economics and understand, review and challenge derivatives valuations and pricing assumptions, working with relevant pricing models and market data.
  • Calculate and incorporate XVA components, primarily CVA, FVA and MVA, into derivatives pricing and develop a strong understanding of the impact of counterparty credit risk, funding and collateral on transaction economics.
  • Support the ongoing monitoring and management of the Structuring & XVA Desk's exposure, including relevant market and counterparty exposures and sensitivities.
  • Assess the impact of collateral arrangements, CSA terms, netting and funding requirements on derivatives pricing and counterparty exposure.
  • Work closely with Sales and Trading throughout the transaction lifecycle, from initial idea generation and structuring through pricing, execution and subsequent risk management.
  • Closely follow financial markets, interest rates, equity markets, volatility and other relevant market dynamics to identify opportunities and risks for the Bank and its clients.
  • Collaborate with Market Risk, ALM, Finance, Legal, Back Office and other internal stakeholders on valuation, collateral, documentation and risk-management considerations.
  • Contribute to the development and improvement of pricing, analytics and risk-management tools and processes used by the Desk.
  • Support the continued automation and digitalisation of pricing, analytics and product processes, including the increasing use of data, programming and AI tools.
  • Provide high-quality day-to-day support across the Desk's activities and build strong working relationships with colleagues across Global Markets and the broader organisation.

 

You will be a great candidate if you:

  • Have approximately 3–5 years of relevant professional experience in derivatives structuring, trading, quantitative analytics, risk management or another closely related role.
  • Have a strong understanding of derivatives and financial markets, ideally with practical experience in Equity and/or Interest Rate products.
  • Have strong quantitative and analytical skills and are comfortable understanding, assessing and challenging derivatives pricing models and their underlying assumptions.
  • Have an interest in developing your knowledge of XVA, counterparty credit risk, collateral and funding, with prior experience in these areas considered an advantage but not a prerequisite.
  • Hold a Bachelor's degree and preferably a Master's degree in a quantitative discipline, such as Financial Engineering, Mathematics, Physics, Engineering, Computer Science, Economics or Finance.
  • Are highly proficient in Excel and comfortable working with financial-market data and analytics. Experience with Bloomberg and programming languages such as Python would be an advantage.
  • Have a strong interest in financial markets and enjoy combining quantitative analysis with practical and commercial problem-solving.
  • Have excellent communication and interpersonal skills and can work effectively with Sales, Trading and other stakeholders.
  • Are proactive, intellectually curious and willing to take ownership, while being comfortable learning new products and taking on a broad range of responsibilities.
  • Are a collaborative and reliable team player, willing to contribute across the team's day-to-day activities and support colleagues where needed.
  • Have an excellent command of Greek and English, both written and spoken.
  • Learn & self-improve with every opportunity.
  • Build mutually beneficial relationships when interacting with clients and colleagues.
  • Develop new solutions while minimising unnecessary complexity.
  • Earn and maintain the trust of clients and colleagues

 

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.   

 

Join us!

If you think you are the right fit for this role, we'd like to hear from you! Apply by 02/10/2026

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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.

 

Apply now »