OverviewWe are building a U.S.-focused Investment Banking & Private Placement division and are seeking high-caliber finance professionals to join a structured FINRA Licensing Track.This role is based in Cairo and is designed for candidates committed to developing a long-term career in U.S.-regulated capital markets.Selected candidates will be sponsored and supported to complete:Securities Industry Essentials (SIE)Series 82 – Private Securities Offerings RepresentativeSeries 63 – Uniform Securities Agent State LawUpon successful licensing, associates will transition into active participation in U.S. private placement and cross-border capital raising mandates.Phase 1: FINRA Licensing Track (Full-Time Study)During Phase 1, the primary and sole responsibility will be full-time preparation for FINRA examinations.Structured exam preparation programDefined study schedule and performance benchmarksInternal exposure to transaction frameworks and regulatory standardsLicensing completion required prior to assuming regulated responsibilitiesThis phase is rigorous and performance-driven.Phase 2: U.S. Capital Markets ExecutionParticipation in U.S. private placement mandatesInstitutional and accredited investor engagement (U.S. market)Cross-border transaction coordinationInvestor materials review and documentation supportDeal pipeline managementCandidate Profile2–5 years of experience in Investment Banking, Corporate Finance, Transaction Advisory, or Private EquityStrong financial modeling and analytical foundationExcellent written and spoken English (mandatory)Demonstrated success in rigorous examinations (CFA Level I or higher strongly preferred)High discipline and structured work ethicLong-term commitment to a regulated capital markets careerCompensationCompetitive base salary during licensing phaseSignificant compensation increase upon full FINRA licensingPerformance-driven upsideDefined advancement path within U.S. Capital MarketsThis is a structured pathway into U.S.-r