Finance Manager jobs in Cairo – Browse 310 openings on RoboApply Jobs

Finance Manager jobs in Cairo

Open roles matching “Finance Manager” with location signals for Cairo. 310 active listings on RoboApply Jobs.

310 jobs found

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ssc-hr logo
Full-time|On-site|Cairo, Cairo Governorate, Egypt

We are in search of a talented Finance Manager to spearhead our financial strategy and operations at ssc-hr. The successful candidate will possess a robust background in financial planning, accounting, and treasury management, ideally with experience in the retail, luxury, or manufacturing industries. This pivotal role is essential for maintaining the financ…

Jan 28, 2025
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ssc-hr logo
Full-time|On-site|Cairo, Cairo Governorate, Egypt

Financial Planning & Budgeting ‒ Responsible for preparing and overseeing annual budgets, forecasts, and financial plans for the company and its subsidiaries. ‒ Collaborate with stakeholders to develop budgets and forecasts that align with organizational objectives and investment strategies. ‒ Monitor budget performance, providing detailed variance analyses along with actionable recommendations for improvement.Financial Analysis & Reporting ‒ Generate precise financial reports, including profit and loss statements, balance sheets, and cash flow statements. ‒ Conduct comprehensive financial analyses to assess the performance of investments and business units. ‒ Produce monthly, quarterly, and annual financial performance reviews for senior management and board members.Cost Control & Efficiency ‒ Track operating expenses and implement cost-reduction initiatives to enhance operational efficiency. ‒ Develop and oversee financial policies, procedures, and controls to protect company assets. ‒ Offer strategic guidance on expense allocation and resource optimization.Risk Management & Compliance ‒ Identify, analyze, and mitigate financial risks across operational and investment activities. ‒ Ensure adherence to local and international financial regulations and tax laws. ‒ Maintain relationships with banks, auditors, and regulatory authorities to facilitate smooth operations.Strategic Financial Support ‒ Assist the CFO and executive team in strategic planning and decision-making, developing and executing financial strategies that align with the company’s long-term goals. ‒ Provide financial insights into mergers, acquisitions, and other growth initiatives. ‒ Participate in the creation and implementation of financial policies and procedures. ‒ Support the formulation of strategies for capital structure, cash flow management, and investment growth.Cash Flow & Treasury Management ‒ Prepare in-depth business analysis reports, including SWOT analyses, financial forecasts, and feasibility studies. ‒ Maintain and update documentation of business processes, workflows, and project outcomes. ‒ Develop case studies and post-project evaluations to enhance organizational knowledge.Leadership & Team Management ‒ Lead, mentor, and develop the finance team to improve performance and ensure operational efficiency. ‒ Cultivate a culture of continuous improvement and financial discipline within the team.

Feb 19, 2025
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ssc-hr logo
Full-time|On-site|Cairo, Cairo Governorate, Egypt

The Finance Manager at ssc-hr leads the Cairo-based Finance department, focusing on accurate financial reporting, effective controls, and supporting the company’s overall strategy. This position manages day-to-day financial operations, drives cost efficiency, and provides guidance to departments for informed decision-making. Financial Management and Reporting Prepare monthly, quarterly, and annual financial statements. Maintain accurate and complete financial data in accordance with accounting standards. Oversee financial closing cycles and deliver timely reports to the CFO and executive leadership. Analyze project profitability and departmental profit and loss performance. Budgeting and Cost Optimization Lead the annual budgeting process for both revenue and expenses. Ensure revenue and expense strategies align with company goals. Monitor departmental spending against established budgets. Identify and implement cost-saving measures. Financial Controls and Compliance Develop and enforce internal financial controls. Ensure compliance with company policies and local regulations. Manage both internal and external audit processes. Identify and address financial risks. Cash Flow and Working Capital Management Oversee cash flow, liquidity, and funding requirements. Monitor receivables and collections performance. Establish effective working capital management practices. Business Partnering Serve as a finance partner to department heads and project managers. Support departments in developing into profit centers. Provide financial insights for operational decision-making. Assist with pricing, bids, and commercial evaluations. Team Leadership Lead and mentor the finance team, including Financial Planning and Analysis (FPA). Promote high performance, accountability, and professional growth within the team. Encourage financial discipline and ownership. Requirements Bachelor’s degree in Finance, Accounting, or a related discipline. Professional certifications such as CPA, CMA, or ACCA are preferred. 12–18 years of experience in finance, ideally in Architecture and Engineering, construction, or project-driven organizations. Strong background in project financial management. Experience with the Gulf Cooperation Council (GCC) region is an advantage.

Apr 27, 2026
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Tawantech logo
Full-time|Remote|Remote — Cairo, Cairo Governorate, Egypt

Role OverviewTawantech is excited to invite a Senior Finance Manager to be part of our dynamic offshoring team based in Cairo. This pivotal role involves steering financial operations, ensuring adherence to compliance standards, managing reporting processes, and facilitating strategic decision-making for both regional and international stakeholders.Key ResponsibilitiesDirect and oversee comprehensive financial planning, budgeting, and forecasting initiatives.Supervise the preparation of monthly, quarterly, and annual financial reports, ensuring alignment with company policies and relevant regulations.Guarantee compliance with local and international accounting standards and tax legislation.Administer cash flow, working capital management, and cost control to achieve business objectives.Collaborate with external auditors, banking institutions, and regulatory agencies.Assist senior management by providing financial analysis, insights, and recommendations.Lead, mentor, and develop the finance team, fostering high performance and precision.Work closely with offshore partners to ensure timely and accurate financial deliverables.

Feb 9, 2026
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Alkafary Group logo
Full-time|On-site|Cairo, Cairo Governorate, Egypt

Role overview The Director of Inventory Finance at Alkafary Group leads the financial management of inventory operations in Cairo. This position shapes inventory finance strategy, ensures accurate financial records, and supports reporting and analysis to guide business decisions. The role requires a strong focus on optimizing inventory processes and maintaining financial precision. Key responsibilities Develop and manage strategies for inventory financial operations Monitor and enhance inventory management processes Maintain accuracy in financial records related to inventory Deliver timely and clear financial reporting and analysis Collaborate with other departments to align inventory strategies with company goals Support projects that improve efficiency and contribute to growth Location This position is based in Cairo, Cairo Governorate, Egypt.

Apr 21, 2026
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EVA Pharma logo
Full-time|On-site|Cairo, Cairo Governorate, Egypt

Join EVA Pharma, a premier pharmaceutical organization committed to championing health and well-being as a fundamental human right. Celebrated as a top employer, we prioritize nurturing a supportive and innovative atmosphere for our employees. Job Summary:As the Finance Projects Lead, you will spearhead financial input and oversight for strategic, cross-functional endeavors, ensuring that financial considerations are integral to our business strategies. Collaborating closely with the CFO, you will transform complex business dialogues into actionable financial insights, guiding pivotal decision-making processes. Key Responsibilities:Direct and coordinate financial contributions to major projects including new business models, system/process enhancements, investments, and cost optimization, while managing timelines, deliverables, and key decision points.Create and sustain advanced financial models and decision-support tools encompassing revenues, margins, cash flow, and project economics.Provide high-quality management reporting, dashboards, and executive summaries that underscore risks, opportunities, and strategic trade-offs.Act as a financial business partner to Commercial, Sales, Marketing, Supply Chain, and other functions, ensuring financial discipline and scrutinizing assumptions.Promote effective communication and alignment between finance and non-finance stakeholders.Encourage continuous improvement and automation of finance processes, tools, and reporting.

Mar 2, 2026
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ssc-hr logo
Full-time|On-site|Cairo, Cairo Governorate, Egypt

Job Purpose:The Executive Director of Corporate Finance will drive strategic financial initiatives and ensure alignment with the company's long-term goals. This role is pivotal for steering financial planning, budgeting, cash management, and treasury operations.Ensure that the company's long-term strategy aligns with financial forecasts.Guarantee shareholder returns are met according to project return policies.Analyze the organization's financial health through various financial forecasts, including risk assessments using scenario analysis.Determine required capital and its sourcing and timing.Distribute capital across projects in line with company objectives.Job Responsibilities:In this role, you will lead key areas of financial operations:Financial Planning: Develop and oversee comprehensive financial plans.Corporate Budgeting: Manage the annual budgeting process to meet strategic goals.Cash Management & Strategic Treasury Activities: Optimize cash flow and treasury functions.Loan/Debt Administration: Oversee the administration of loans and debt.Project Financial Modeling:Build and review financial models for various projects and partnerships.Analyze project return metrics and key performance indicators.Review financial models from development departments for accuracy and completeness.Authorize project launches and review pricing for new inventory.Evaluate project technical budgets against approved feasibility studies.Approve contracts and determine client payment terms.Update project-specific financial models biannually.Group Financial Model:Prepare and update the Group Consolidated Financial Model annually.

Aug 20, 2025
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Help AG logo
Full-time|On-site|Cairo, Al Qāhirah, Egypt

Help AG is seeking a skilled and detail-oriented Finance Assistant to join our dynamic Accounting and Operations team. In this pivotal role, you will contribute to the accuracy and efficiency of our financial operations, ensuring that management and relevant departments consistently receive precise and reliable financial data while adhering to all applicable regulations. Your innovative ideas and creative problem-solving skills will not only support the growth of Help AG but also enhance our internal processes and overall efficiency. Additionally, you will collaborate with various departments, assisting with a diverse range of tasks as required.

Mar 30, 2026
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thndr logo
Internship|On-site|Cairo Office

About the RoleAs a Finance Intern, you will play a crucial role within our Group Finance and Investment Banking teams. This position offers a unique opportunity to engage with various workstreams, including Financial Planning & Analysis (FP&A), Investor Relations, Strategic Finance, and Investment Banking. You will gain hands-on experience in a rapidly growing fintech environment, contributing to real projects, receiving mentorship from senior professionals, and potentially transitioning to a full-time position based on your performance.Key ResponsibilitiesAssist with FP&A and financial planning: Update financial models, prepare budget forecasts, conduct variance analyses, and contribute to annual business planning and re-forecasting cycles.Support monthly management reporting: Help compile monthly reports, analyze P&L statements and cash flow, develop supporting schedules, and investigate variances against budgets and previous periods.Assist Investor Relations: Prepare investor KPI packs, board presentations, commentary on flash results, and updates to data rooms; ensure consistency by cross-checking figures against source documents.Conduct strategic finance research: Assist in market sizing, competitive benchmarking, and thematic research to inform strategic decisions and analyses for entering new markets.Support Investment Banking activities: Help in building valuation models (DCF, trading comps, precedent transactions), preparing pitch materials, and assisting with live mandates throughout the origination and execution processes.

Apr 22, 2026
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b_labs logo
Full-time|On-site|Cairo, Cairo Governorate, Egypt

Join a dynamic and world-class engineering team at b_labs, the innovative arm of B.TECH, as we embark on a mission to transform the consumer finance landscape in Egypt. We are searching for a Senior Full Stack Engineer to be a crucial member of our Fintech squad, contributing to the development of the country's premier consumer finance product.In this role, you will play a vital part in defining the technical vision of our digital product, constructing distributed transactional systems, and collaborating closely with design and product teams to create exceptional consumer finance solutions that drive innovation and enhance customer experiences.If you are excited about developing pioneering digital products and thrive in a diverse and inclusive environment, b_labs offers an unparalleled opportunity to be at the forefront of digital retail in Egypt. Help us shape the industry's future, one breakthrough at a time.

Jun 14, 2025
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Jobs for Humanity logo
Accounting Manager

Jobs for Humanity

Full-time|On-site|Cairo

We are looking for a dedicated and experienced Accounting Manager to join our team at Jobs for Humanity. In this pivotal role, you will oversee financial reporting, manage accounting operations, and ensure compliance with financial regulations while supporting our mission to create job opportunities for diverse communities.

Apr 8, 2026
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b_labs logo
Full-time|On-site|Cairo, Cairo Governorate, Egypt

Join a world-class technology team at b_labs, the innovation hub of B.TECH, as we shape the future of digital experiences in the consumer finance sector in Egypt. We are on the lookout for a Senior Product Manager to drive the development of Egypt's premier consumer finance products within our Fintech squad.In this role, you will be a key player in a visionary and customer-centric team dedicated to transforming the consumer finance landscape in Egypt through innovative financial product creation. You will oversee product operations in our financial services domain, collaborating with business and technology stakeholders to realize your strategic vision. This position offers the chance to influence product development strategies, harness market trends for continuous improvement, and deliver outstanding customer experiences.If you have a passion for crafting groundbreaking digital products and excel in a diverse and inclusive environment, b_labs is the ideal place for you. Be at the forefront of Fintech innovation in Egypt and help us shape the industry's future, one innovation at a time.

May 7, 2025
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Thndr Securities Brokerage logo
Full-time|On-site|Cairo Office

About the RoleAs the Director of Compliance and Anti-Money Laundering (AML) at Thndr Securities Brokerage, you will spearhead the organization’s compliance and AML initiatives, ensuring adherence to the highest standards of integrity and regulatory compliance under the aegis of the Financial Regulatory Authority (FRA).In this pivotal role, you will manage a dedicated team of compliance and risk officers, acting as the primary liaison with regulators and guaranteeing that Thndr’s brokerage operations are executed safely, ethically, and in accordance with both local and global standards.You will report directly to the Chief Executive Officer and collaborate closely with the Policy, Legal, and Compliance, Risk & Fraud (CRF) teams across the Thndr Group to ensure cohesive alignment and oversight across all regulatory matters.Key ResponsibilitiesLead and nurture a high-achieving team of compliance and risk professionals, overseeing daily compliance operations and monitoring.Serve as the chief liaison with the Financial Regulatory Authority (FRA), fostering strong and transparent relationships with regulatory bodies.Ensure regulatory alignment across all brokerage functions including onboarding, trading, client communications, reporting, and recordkeeping.Manage regulatory submissions, ensuring timely and precise filing of all necessary documentation, renewals, and notifications.Prepare and inform internal teams in advance of any regulatory inspections or reviews, ensuring complete readiness and documentation accuracy.Monitor and analyze regulatory updates and lead internal adjustments to maintain compliance with evolving laws, FRA circulars, and industry standards.Collaborate with Policy and CRF teams to identify, address, and mitigate compliance gaps while ensuring adherence to group-wide frameworks.Develop robust surveillance programs to identify, escalate, and manage potential violations or suspicious activities.Oversee AML/CFT responsibilities, ensuring that policies, procedures, and systems effectively prevent and identify financial crimes.Review product and process approvals, assessing new initiatives for compliance implications.

Mar 1, 2026
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ssc-hr logo
Full-time|On-site|Cairo, Cairo Governorate, Egypt

The Financial Analyst plays a crucial role in examining, overseeing, and managing the fiscal components of various organizational projects. This position entails responsibilities such as budgeting, forecasting, financial modeling, and assessing project performance to ensure alignment with both financial and strategic goals. The analyst will work closely with project managers and stakeholders to deliver actionable insights and facilitate data-driven decision-making.Financial Planning and Budget Management:Oversee, update, and maintain project budgets within the company's financial systems.Review and authorize financial transactions, including Purchase Orders (POs), Freelancer Budgets, and IOUs, ensuring all adjustments are accurately reflected in cost sheets and databases.Monitor and manage provisions for outstanding POs and ensure project expense estimates are in line with month-to-date (MTD) forecasts.Revenue and Cost Analysis:Prepare and distribute detailed cost sheets to Project Managers for precise project budgeting and revenue monitoring.Generate sales invoices for advance payments, progressive payments, and final settlements, ensuring adherence to financial timelines.Reconcile revenue and expenses for completed projects, ensuring consistency between Dynamics systems and cost sheets.Supervise and update collection reports to ensure timely reporting for executive meetings.Track and document collection entries to maintain accurate accounts receivable records.Coordinate with the Commercial team to issue outstanding sales invoices for finalized projects.Expense Management and Vendor Coordination:Collaborate with the Procurement and HR teams to ensure all project-related invoices, including hotel expenses, airfare, rental cars, casual labor, and staff allowances, are processed efficiently.Manage project-related freelancer agreements and track non-PO invoices for accurate expense reporting.Facilitate freelancer payments by obtaining necessary approvals and coordinating with the payments team.Oversee supplier payments for projects, confirming approvals and processing with Finance and Payments teams.Manage petty cash and ensure proper expense tracking for designated projects.Reporting and Reconciliation:Compile comprehensive financial reports, including profitability analyses, event-specific summaries, and monthly sales reports.Conduct reconciliations for deferred expenses, deferred revenues, and accounts receivable aging.Perform month-end reconciliations to validate the accuracy of financial records and project reports.Assist with the annual audit alongside the accounting team, providing all necessary reports and analyses related to projects.Collaboration and Stakeholder Engagement:Engage effectively with stakeholders to ensure financial objectives are met.

Mar 6, 2025
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ssc-hr logo
Full-time|On-site|Cairo, Cairo Governorate, Egypt

Job Objective:The Financial Controlling Supervisor is pivotal in safeguarding the accuracy, efficiency, and compliance of financial operations, with a specialized focus on accounts payable and treasury functions. This role requires advanced technical accounting skills, prudent decision-making, and a profound understanding of financial systems and internal controls. The successful candidate will oversee daily operations, facilitate financial closing processes, ensure the correct accounting treatment of transactions, and collaborate with various departments to uphold business integrity and reporting precision.Leadership and Team Management:Lead and mentor the Accounts Payable and Treasury teams, ensuring optimal performance, adherence to timelines, and compliance with internal policies. You will provide continuous coaching and development, establish clear key performance indicators (KPIs), and foster a culture of excellence, integrity, and ongoing improvement.Accounting and Financial Controls:Guarantee the accurate posting of financial transactions in accordance with International Financial Reporting Standards (IFRS) and company accounting policies. Supervise the preparation and validation of journal entries, ensuring that accounts payable, treasury, and financial transactions are accurately represented following sound accounting principles. Review and approve accounting entries to confirm proper financial classification, accuracy, and adherence to the chart of accounts. Assist with monthly, quarterly, and year-end closing activities, including reconciliations, reporting packages, and audit schedules.Accounts Payable Oversight:Manage the entire accounts payable process, including invoice validation, goods receipt/invoice receipt (GR/IR) clearing, payment processing, and vendor reconciliation. Ensure that complex transactions such as advances, retention, debit/credit notes, and tax components are accurately accounted for. Monitor accounts payable aging, address escalations, and collaborate closely with procurement and operations teams to ensure financial alignment.Treasury and Cash Management:Oversee daily treasury operations, including bank reconciliations, fund transfers, collections, and payments. Ensure the accurate documentation of all treasury-related transactions and compliance with treasury policies. Liaise with banks to meet operational and compliance needs and assist in preparing rolling cash forecasts. Validate financial entries related to bank charges, interest, foreign exchange differences, and fund allocations.Financial Reporting and Closing:Work with the accounting team to support month-end and year-end closing processes. Ensure the timely and accurate preparation of financial statements, schedules, and reports pertaining to accounts payable and treasury activities. Prepare documentation that is ready for audit and coordinate with internal and external auditors during financial reviews.

Feb 9, 2026
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ssc-hr logo
Full-time|On-site|Cairo, Cairo Governorate, Egypt

Job DescriptionWe are seeking a dynamic Project Management Manager to spearhead and oversee project management activities with a strong emphasis on business development within the fertilizers and petroleum sectors. This role entails the successful planning, execution, and delivery of strategic projects, while actively supporting growth initiatives, partnerships, and commercial objectives for the Abu Tartour Project. Key ResponsibilitiesProject Controls & Performance ManagementEstablish and manage comprehensive project control systems encompassing planning, scheduling, cost control, progress measurement, and reporting for construction projects, aligned with Income’s strategic and commercial objectives.Develop, review, and maintain detailed construction timelines and integrated master programs utilizing Primavera P6 or equivalent tools, ensuring synchronization between execution strategy and contractual requirements.Monitor construction progress against approved timelines and budgets, identify discrepancies, and propose corrective and recovery actions to protect Income’s financial exposure and performance.Prepare, manage, and oversee project budgets, cost baselines, cash flow forecasts, and cost reports to aid informed decision-making and protect Income’s commercial interests.Implement earned value management (EVM) techniques to evaluate performance, predict final outcomes, and provide early warnings for risks that may impact Income’s interests.Define and uphold accurate progress measurement systems for engineering, procurement, and construction to facilitate entitlement, reporting, and acceptance of completed works.Risk, Change & Claims SupportIdentify, evaluate, and manage project risks and opportunities, developing mitigation and contingency plans to safeguard Income’s and its partners' contractual and commercial positions.Review and analyze variations, claims, and change orders from a project controls and contractual perspective, ensuring robust substantiation and alignment with Income’s and its partners’ strategic aims.Assist with delay analysis and claims preparation in accordance with contract requirements (FIDIC or equivalent) to defend time and cost entitlements. This role is crucial in leading and supervising all project control activities for construction projects in Madinah City, ensuring effective planning, scheduling, cost control, progress monitoring, and reporting to successfully deliver projects in accordance with approved budgets, timelines, quality standards, and contractual obligations.

Feb 16, 2026
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Nawy Real Estate logo
Treasury Supervisor

Nawy Real Estate

Full-time|On-site|Cairo, Maadi, Egypt

The Treasury Supervisor will play a pivotal role in managing the treasury operations of our organization. This position is integral to ensuring optimal cash flow, enhancing liquidity, fostering banking relationships, and ensuring adherence to financial regulations and company policies. The ideal candidate will contribute significantly to the financial health and sustainability of the company.Key Responsibilities:1. Cash Flow Management: - Predict and oversee cash flow to maximize liquidity and fulfill financial commitments. - Analyze cash flow trends and patterns for informed decision-making.2. Banking and Cash Management: - Cultivate and maintain strong relationships with banking institutions, negotiating fees and services. - Supervise and reconcile cash transactions, which include bank accounts and petty cash operations. - Manage online banking systems for streamlined cash operations.3. Risk Management: - Identify financial risks and formulate strategies to mitigate them. - Monitor and manage interest rate risks, currency exposure, and other financial vulnerabilities.4. Compliance and Reporting: - Ensure compliance with financial regulations and internal policies. - Prepare and submit financial reports to relevant regulatory bodies.5. Financing and Investments: - Support the management of debt and credit facilities. - Assess investment opportunities and provide recommendations based on thorough financial analysis.

Apr 20, 2025
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talent3600 logo
Full-time|On-site|cairo, Al Qāhirah, Egypt

talent3600 seeks an Operations Manager based in Cairo, Al Qāhirah, Egypt. This position plays a central role in overseeing agency operations and ensuring projects move smoothly from start to finish. Role overview The Operations Manager coordinates daily activities across departments, manages workflows, and keeps a close eye on project timelines. The focus is on improving efficiency, making the best use of resources, and supporting timely project delivery. Clear communication within the agency and with clients is a key part of the job. Main responsibilities Supervise daily operations across all agency departments Design, implement, and refine Standard Operating Procedures (SOPs), workflows, and processes Guide projects from initial brief through to final delivery Track project timelines, deadlines, and delivery quality Coordinate work between creative, accounts, media, and production teams Manage workload distribution and support resource planning Identify operational inefficiencies and implement solutions Maintain clear communication between internal teams and with clients Assist department heads with team performance and capacity management Monitor and evaluate productivity and operational KPIs Contribute to operational budgeting and oversee project expenses Optimize use of tools, systems, and internal resources Support forecasting for operational and resource needs Handle operational escalations and resolve workflow or delivery issues Facilitate coordination between management, teams, and stakeholders Prepare regular operational reports for management Analyze workflows and performance metrics to recommend improvements Encourage continuous improvement of agency operations and efficiency Requirements Bachelor’s degree in Business Administration, Marketing, or a related field 2–5 years of experience in operations or project management Background in marketing or advertising agencies Experience managing cross-functional teams and workflows Strong leadership, organizational, and problem-solving skills Proficiency with project management tools such as Asana, Monday, Trello, or similar Understanding of campaign lifecycles and agency operations Effective communication skills in both English and Arabic Comfortable working in a fast-paced setting Experience in digital marketing or media agencies is a plus Benefits Social and medical insurance Laptop allowance Working conditions Location: Maadi/Cairo Schedule: Sunday is a fixed work-from-home day. Monday to Thursday, 10:00 AM to 6:00 PM

Apr 24, 2026
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Accor Hotels logo
Duty Manager

Accor Hotels

Full-time|On-site|Cairo

Join our dynamic team at Accor Hotels as a Duty Manager, where you will play a pivotal role in ensuring exceptional guest experiences and operational excellence. In this position, you will oversee daily operations, manage staff, and maintain high standards of service. Your leadership will help create a welcoming atmosphere for our guests while ensuring all hotel policies and procedures are adhered to.

Feb 6, 2026
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Nawy Real Estate logo
Commercial Manager

Nawy Real Estate

Full-time|On-site|Cairo, Maadi, Egypt

Join Nawy Real Estate as a Commercial Manager, where you will play a pivotal role in driving our property sales strategies and enhancing our market presence. Your key responsibilities will include:Launching and expanding diverse sales channels for effective property liquidation and asset exits, utilizing both direct and indirect methods, both within Nawy and externally.Creating and implementing impactful commercial strategies, promotional initiatives, and go-to-market approaches tailored for various sales channels.Crafting compelling sales pitches for properties ready for exit, ensuring optimal market positioning to facilitate successful transactions.Conducting pricing optimization to maximize returns for asset owners, ensuring financial goals are met.Overseeing the financial performance of asset exits, aligning with revenue and margin targets as well as the overarching business strategy.Monitoring, analyzing, and providing insights on channel performance to continuously improve effectiveness.Collaborating closely with product and technology teams to streamline and automate exit-related processes.Coordinating with the finance department on all pertinent business cases related to exit channels.

Mar 15, 2026

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