Résumé du poste par JobGrid
Senior Financial Analyst at Vinmar International: Thessaloníki, Grèce; Hybride; Temps plein. JobGrid adds normalized role facts, source context, and a path to the employer application page so candidates can compare the listing before applying.
- Location and workplace: Thessaloníki, Grèce, Hybride
- Role classification: Temps plein
- Source freshness: checked by JobGrid on 2026-05-28.
- Application path: candidates continue to the employer application page with non-personal referral tags.
We are looking for an experienced and hands-on Senior Financial Analyst to support the Finance Controller in managing financial operations, reporting, audits, and compliance activities across multiple European and international jurisdictions.
The ideal candidate will have strong practical experience in financial analysis, financial statement preparation, statutory reporting, and external/internal audit coordination within multinational environments. The role requires excellent analytical capabilities, attention to detail, and the ability to work across different accounting standards and regulatory frameworks.
Key Responsibilities
- Support the Finance Controller in overseeing daily finance and controlling activities across multiple entities and jurisdictions.
- Prepare annual financial statements in compliance with local GAAP requirements.
- Coordinate and actively participate in external and internal financial audits across different countries and legal entities.
- Ensure timely completion of statutory reporting and regulatory filings in various European jurisdictions.
- Perform detailed financial analysis, variance analysis, and profitability assessments.
- Assist in group consolidation and intercompany reconciliations.
- Be an internal part of budgeting, forecasting, and financial planning activities.
- Monitor compliance with internal controls, accounting policies, and financial procedures.
- Collaborate with tax advisors, auditors, and finance teams to ensure compliance with local regulations.
- Support cash flow management, treasury reporting, and working capital optimization.
- Prepare management reports and KPI dashboards for senior leadership.
- Identify opportunities for process improvements, automation, and reporting efficiency.
- Assist with finance transformation and system enhancements where applicable.