Overview
Associate Financial Analyst Jobs in New Cairo, Cairo, Egypt at STRIDE Financial Advisors
Title: Associate Financial Analyst
Company: STRIDE Financial Advisors
Location: New Cairo, Cairo, Egypt
Company Description
Stride Financial Advisors is a strategy and finance partner for startups and high-growth companies navigating critical inflection points. We specialize in financial modelling, fundraising support, and CFO-as-a-Service—helping founders and executives gain the clarity and structure they need to make confident, data-driven decisions. Our role goes beyond building numbers on a sheet. We embed ourselves as partners to leadership teams, providing the frameworks, discipline, and accountability that turn ambition into measurable outcomes. From pricing and unit economics to valuations, investor readiness, and long-term growth strategies, Stride ensures that vision and execution are always backed by sound financial foundations.
Job Summary
The Associate Financial Analyst will support the finance function through in‑depth financial analysis, budgeting, forecasting, and account management. The role requires a highly detail‑oriented professional with strong analytical capabilities, solid experience in financial statement analysis, and the ability to communicate financial insights clearly to support sound business decision‑making.
Qualifications & Experience
- Bachelor’s degree in Finance.
- 6–8 years of relevant experience in financial analysis, budgeting, forecasting, or account management
- Professional certifications (e.g., CFA, CMA, ACCA) are an advantage
Technical Skills
- Strong financial analysis and modeling skills
- Advanced financial statement analysis
- High attention to detail with a meticulous approach to numbers
- Proficiency in budgeting, forecasting, and variance analysis
- Strong analytical and problem‑solving skills
- Advanced knowledge of Excel and financial reporting tools
Soft Skills & Core Competencies
- High level of professionalism and presentability
- Excellent command of Arabic and English, both written and verbal
- Strong presentation and communication skills
- Willingness to learn, grow, and continuously develop professionally
- Strong sense of ownership and accountability
- Ability to work independently while collaborating effectively with stakeholders
Key Responsibilities & Duties
- Prepare and report monthly financial performance, providing clear and in‑depth analysis
- Perform monthly actual vs. budget analysis, identifying and highlighting key variances, risks, threats, and opportunities
- Develop and maintain a rolling cash flow forecast to support liquidity management
- Manage assigned accounts end‑to‑end, ensuring accuracy, completeness, and compliance
- Support budgeting and forecasting cycles, including detailed assumptions and scenario analysis
- Provide actionable financial insights to management to support decision‑making
- Ensure effective communication with internal stakeholders regarding financial performance and drivers
- Assist in improving financial processes, controls, and reporting efficiency