Egypt
Graduated with a bachelor's degree in Finance, complemented by certifications like CFA Level I, FMVA and the Investment Foundations Certificate. Currently serving as a Senior Financial Analyst at ELSEWEDY ELECTRIC, contributing to financial reporting, variance analysis, and budget presentation preparation. Proficient in building financial models and leveraging tools such as Oracle Hyperion (HFM) and Board BI dashboards to deliver actionable insights. At ELSEWEDY ELECTRIC, collaborated with subsidiaries and finance leaders to enhance performance tracking and ensure data-driven recommendations aligned with market trends. Motivated by a commitment to analytical excellence and fostering informed decision-making, bringing diverse skills in financial forecasting and cross-team communication to support organizational growth.
Leading strategic FP&A activities to drive sustainable growth and operational efficiency. I act as a key financial business partner to senior leadership, providing data-driven insights that bridge the gap between financial targets and operational reality. Core Focus Areas: Strategic FP&A: Developing sophisticated financial models and multi-scenario forecasts to guide long-term strategic planning. Business Partnering: Collaborating closely with executive leadership (CFO/CEO) to translate complex data into actionable business strategies. Profitability Optimization: Conducting deep-dive analyses on unit economics and cost structures to enhance overall margins. Liquidity Management: Overseeing working capital analysis and cash flow forecasting to ensure fiscal health and stability. Performance Monitoring: Tracking key financial and operational KPIs to identify trends, risks, and opportunities for improvement. Fundraising & Investor Relations: Supporting capital-raising initiatives by developing robust financial narratives, investor decks, and long-term viability models that demonstrate business scalability. Unit Economics Mastery: Driving profitability analysis at the unit level to ensure a healthy balance between acquisition costs and customer lifetime value, providing the core evidence for investment readiness.
• Responsible for monthly and quarterly closing processes. • Execute highly competent financial performance reports for the group and subsidiaries. • Standalone action plans to enhance the company’s performance follow-up on execution. • Communicate on a monthly basis with the 70 subsidiaries’ Finance Managers and CFOs. • Stay up to date on industry trends and market conditions to ensure accurate financial analysis and recommendations to the subsidiaries. • Building up financial models and dashboards through analytical tools. • Prepare board presentation package for the budget. • Use Oracle Hyperion Management (HFM) consolidation system and Board BI dashboard. • Make variance analysis and analyze the account receivable aging report on a quarterly basis. • Prepare financial feasibility analysis for the new business expansion opportunities including joint ventures or acquisitions and provide recommendations to the Corporate Finance Director. • Conduct scenario analysis based on microeconomic and macroeconomic factors to assess business risk. • Evaluate subsidiaries using various financial valuation methods, such as DCF and comparable company analysis. • Construct and monitor the direct/indirect cash flow of the group and standalone entities. • Reconciliation of audited and managerial reporting.
As an Investment and Financial Analyst, I am responsible for the following: • stay updated on market news, regulatory changes, and developments, conduct data analysis, develop financial models for company valuation, and perform industry research. • Real Estate Feasibility Studies: Conducting thorough analyses and assessments to determine the viability and profitability of real estate development projects undertaken The Company. • Investment Feasibility Studies: Performing comprehensive evaluations and due diligence on potential investment opportunities that the company intends to pursue. This involves assessing the financial viability, risks, and potential returns of various investment options. • Cash Flow Management: Preparing and analyzing cash flow projections for the company's projects. This includes forecasting cash inflows and outflows, ensuring optimal financial management, and identifying potential liquidity issues or opportunities for improvement. • Business Plans: Developing comprehensive business plans for the company, focusing on strategic objectives, financial forecasts, market analysis, and risk mitigation strategies. These plans serve as a roadmap for the company's growth and expansion. • Planning and Budgeting: Collaborating with key stakeholders to develop strategic plans and budgets for the company. This involves aligning financial goals with overall business objectives, monitoring performance against targets, and providing recommendations for resource allocation and optimization.
As an Investment and Financial Analyst, I am responsible for the following: • stay updated on market news, regulatory changes, and developments, conduct data analysis, develop financial models for company valuation, and perform industry research. • Real Estate Feasibility Studies: Conducting thorough analyses and assessments to determine the viability and profitability of real estate development projects undertaken The Company. • Investment Feasibility Studies: Performing comprehensive evaluations and due diligence on potential investment opportunities that the company intends to pursue. This involves assessing the financial viability, risks, and potential returns of various investment options. • Cash Flow Management: Preparing and analyzing cash flow projections for the company's projects. This includes forecasting cash inflows and outflows, ensuring optimal financial management, and identifying potential liquidity issues or opportunities for improvement. • Business Plans: Developing comprehensive business plans for the company, focusing on strategic objectives, financial forecasts, market analysis, and risk mitigation strategies. These plans serve as a roadmap for the company's growth and expansion. • Planning and Budgeting: Collaborating with key stakeholders to develop strategic plans and budgets for the company. This involves aligning financial goals with overall business objectives, monitoring performance against targets, and providing recommendations for resource allocation and optimization.