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Corporate Finance Manager

Khazna

Khazna

Accounting & Finance
Egypt
Posted on Apr 15, 2025

Khazna launched in 2020 with a mission to improve the financial well-being of the underbanked, who have little access to formal financial services by providing access to convenient, effective and secure smartphone-based financial services. Khazna has received the Central Bank of Egypt’s first prepaid card license and aims to become the go-to neobank for underbanked consumers across the Middle East. In the next phase of its journey, Khazna is looking to continue scaling up its operations in Egypt and to launch its operations in Saudi Arabia.

This is a fun stage in the company's lifecycle as the core foundation has been but it is still early enough to assume a ton of ownership and to help shape the future of the company and its success.

We are consistently on the lookout for rock stars to help us solve for financial inclusion.

Key Responsibilities:

Fundraising & Investor Relations:

  • Execute fundraising strategy and lead capital raising initiatives (equity and debt), including preparing investor decks, financial models, and due diligence materials.
  • Serve as a key point of contact during due diligence processes and liaise with team members to gather required data
  • Collaborate with external advisors, banks, and investors throughout fundraising rounds.
  • Maintain cap tables and manage investor communications.

Strategic Finance & Business Partnering:

  • Evaluate business cases for new products, partnerships, or market expansions.
  • Partner with product, tech, and commercial teams to align financial goals with operational execution.
  • Analyze unit economics, customer acquisition costs (CAC), and lifetime value (LTV).

Financial Planning & Analysis (FP&A):

  • Own the budgeting, forecasting, and long-term financial planning processes.
  • Provide data-driven insights to support strategic decision-making across the business.
  • Track actual financial performance versus budgeted performance on a monthly basis and identify key strengths to be leveraged and weaknesses to be mitigated
  • Develop dashboards, KPIs, and financial models for internal and external stakeholders.

Corporate Development:

  • Support M&A initiatives, strategic partnerships, and due diligence processes.

Governance & Reporting:

  • Ensure timely and accurate monthly/quarterly financial reports for management and board.
  • Work with accounting teams to ensure compliance with internal controls and audit requirements.

Required Qualifications:

  • Bachelor’s degree in Finance, Economics, Accounting, or related field (MBA or CFA a plus).
  • 3 - 5 years of experience in corporate finance, investment banking, FP&A, or financial consulting.
  • Strong financial modeling and data analysis skills (Excel, SQL a plus).
  • Excellent understanding of fintech business models, especially in lending, payments, or digital banking.
  • Comfortable in a fast-paced, ambiguous startup environment.
  • Strategic mindset with high attention to detail and strong communication skills.