Overview
Financial Management & Corporate Finance Associate (Remote) Jobs in Egypt at Himyar Capital
Title: Financial Management & Corporate Finance Associate (Remote)
Company: Himyar Capital
Location: Egypt
Company Description
Himyar Capital is a Dubai-based financial advisory firm that combines the sophistication of institutional-grade services with the efficiency of a boutique firm. We work with founders, family offices, and institutions across the MENA region, offering expertise in transaction advisory, direct investments, and strategic financial guidance. Our senior bankers lead every project from start to finish, ensuring analytical rigor and high execution standards. Operating across MENA and international markets, we maintain a transparent, value-aligned fee structure to deliver exceptional results.
Job Description:
Role Overview
We are looking for a high-caliber Associate to support our Financial Management & Corporate Finance mandates, including budgeting, financial planning, reporting, and ongoing CFO support.
This role is execution-heavy and involves working closely with clients to build and manage their finance function.
Key Responsibilities
- Build and manage financial models (budgets, forecasts, cash flow models)
- Prepare monthly management accounts and investor reports
- Support clients with financial planning, budgeting, and performance tracking
- Develop dashboard reporting and KPI tracking frameworks
- Assist in cash flow management and working capital optimization
- Support implementation of financial controls and reporting processes
- Work directly with clients on day-to-day finance requirements
- Assist in strategic finance initiatives (cost optimization, growth planning, scenario analysis)
Candidate Profile
- 3–5 years of experience in:
- Transaction advisory / corporate finance
- Big 4 (Deals / Advisory / Audit with strong modeling exposure)
- Private equity / portfolio finance / FP&A
- Strong GCC exposure (UAE / KSA preferred)
- Advanced skills in:
- Financial modeling (Excel) — must be able to build full operating models independently
- Financial reporting & analysis
- PowerPoint (investor / board-level materials)
- Strong understanding of:
- Financial statements (3-statement fluency)
- Budgeting & forecasting processes
- Cash flow and working capital dynamics
- Fluent in BOTH English and Arabic (mandatory)
→ Must be able to communicate and prepare materials in both languages
What We’re Looking For
- Execution-focused operator — can build, not just review
- Comfortable in a lean, high-responsibility environment
- Able to manage multiple clients and deliver consistently
- Strong attention to detail and ownership mindset
- Comfortable interacting directly with founders / senior stakeholders