Anastasios Dafnis
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Anastasios Dafnis Email & Phone Number

Group Regulatory Reporting at Eurobank (GRE)
Location: Greece 4 work roles 3 schools
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Current company
Role
Group Regulatory Reporting
Location
Greece
Company size

Who is Anastasios Dafnis? Overview

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Quick answer

Anastasios Dafnis is listed as Group Regulatory Reporting at Eurobank (GRE), a with 4448 employees, based in Greece. AeroLeads shows a matched LinkedIn profile for Anastasios Dafnis.

Anastasios Dafnis previously worked as Reporting to Supervisory Authorities at Hellenic Postbank and Team Supervisor at Bank Of Greece. Anastasios Dafnis holds Master Of Science (Ms), International Economics And Finance from Athens University Of Economics And Business.

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Email format at Eurobank (GRE)

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Eurobank (GRE)

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Profile bio

About Anastasios Dafnis

I am a responsible person with a high sense of responsibility and open-minded. My basic principle is honesty and teamwork with other colleagues. I enjoy overcoming challenges, and I have a genuine interest in banking environmental more than 10 years experience.

Listed skills include Banking, Accounting, Economics, Corporate Finance, and 32 others.

Current workplace

Anastasios Dafnis's current company

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Eurobank (GRE)
Eurobank (Gre)
Group Regulatory Reporting
athens, attiki, greece
Website
Employees
4448
AeroLeads page
4 roles

Anastasios Dafnis work experience

A career timeline built from the work history available for this profile.

Group Regulatory Reporting

Current

Group Finance Service

•IFRS 9 adjustments to the own funds•Pillar III, according to the guidelines on disclosure requirements under part eight of regulation (EU) NO 575/2013•Basel III rwa's calculation •Financial Reporting (FINREP), according to CRR•Asset Encumbrance•Non-Performing Exposures, forbearance and non-performing•RWA asset (credit risk, market and operation risk) in order to calculate the capital requirement.•Submission regulatory reporting to the supervisory authorities like Bank of Greece, European Central Bank, Single Supervisory Mechanism, Single Resolution Mechanism and TEKE•Calculation of eligible and non eligible and covered deposits for TEKE submission•Calculation of the capital adequacy under Basel III •Monthly estimation of CET1, Tier 1 and Total Tier•Calculation of rwa credit risk•Calculation of rwa market risk, emphasing foreign exchange position for the market risk•Calculation of rwa operating risk•Total imaging of the Bank for the large exposures•Continuous monitoring of the CRD IV / CRR

Aug 2008 - Present

Reporting To Supervisory Authorities

Financial Services

•Submission of Monthly Balance Sheet of the Hellenic Postbank S.A. to the supervisory authorities (Bank of Greece, Hellenic Republic Capital Market Commission, Hellenic Financial Stability Fund).•Submission regulatory reporting like large debtors and exposures, debt securities, credit risk, market risk, operation risk and capital requirements to the Supervision of Credit and Related Financial Institutions Department, the European Central Bank and Bank for International Settlements.•Monitoring on a daily basis the change in deposits.•Weekly monitoring interest rates on time deposits.•Continuous monitoring of the new institutional framework Banking known as Basel III.

Aug 2008 - Jan 2014

Team Supervisor

Supervision Of Credit And Related Financial Institutions

•Responsible in drafting computerized guide for information executives of the Bank of Greece.•Committee member for the formation of the Acts of the Governor of the Bank of Greece on the Basel II (risk-weighted assets, capital requirement against market risk, credit risk and operational risk).•Continuous monitoring of the implementation of the new surveillance framework of capital adequacy (Basel II), rules liquidity and concentration risk.•Monitoring of the financial statements and other data presented periodically supervised entities.•Design submitted bank regulatory reporting known as BSD (Banking Supervision Data), like large exposures, Foreign Exchange Position, Tables Index Solvency, Balance Sheet and Income Statement.

Apr 2006 - Apr 2007
Team & coworkers

Colleagues at Eurobank (GRE)

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3 education records

Anastasios Dafnis education

Master Of Science (Ms), International Economics And Finance

I specialized in the field of International Economics. The required courses were: Microeconomics and Macroeconomics theory and policy.

Bachelor Of Science (Bs), Business Administration And Management

I specialized in the field of Marketing with an emphasis in financial and banking. Distinction in the Examination of the course.

Bachelor Of Science (Bs), Accounting And Finance

I specialized in the field of Accounting with an emphasis in banking. Distinction in the Examination of the course International.

FAQ

Frequently asked questions about Anastasios Dafnis

Quick answers generated from the profile data available on this page.

What company does Anastasios Dafnis work for?

Anastasios Dafnis works for Eurobank (GRE).

What is Anastasios Dafnis's role at Eurobank (GRE)?

Anastasios Dafnis is listed as Group Regulatory Reporting at Eurobank (GRE).

Where is Anastasios Dafnis based?

Anastasios Dafnis is based in Greece while working with Eurobank (GRE).

What companies has Anastasios Dafnis worked for?

Anastasios Dafnis has worked for Eurobank (Gre), Hellenic Postbank, Bank Of Greece, and Institut Français.

Who are Anastasios Dafnis's colleagues at Eurobank (GRE)?

Anastasios Dafnis's colleagues at Eurobank (GRE) include Eleni Biliali, Gerasimos Sarikakis, Βαλεντινα Τσεντελιερου, Evangelos Karras, and Athanasios Christopoulos.

How can I contact Anastasios Dafnis?

You can use AeroLeads to view verified contact signals for Anastasios Dafnis at Eurobank (GRE), including work email, phone, and LinkedIn data when available.

What schools did Anastasios Dafnis attend?

Anastasios Dafnis holds Master Of Science (Ms), International Economics And Finance from Athens University Of Economics And Business.

What skills is Anastasios Dafnis known for?

Anastasios Dafnis is listed with skills including Banking, Accounting, Economics, Corporate Finance, Basel Ii, Valuation, Portfolio Management, and Financial Modeling.

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