Senior Analyst, Corporate Finance
About the Company
G2 is the world's largest and most trusted software marketplace. When you join G2, you’re joining the industry’s leading team that helps businesses reach their peak potential by powering decisions and strategies with trusted insights from real software users. Now, we have joined forces with Capterra, SoftwareAdvice, and GetApp to create the largest source of online data and software insights to fuel intelligent buying in the age of AI. With 200M+ combined annual visitors and 6M verified reviews, we are now the centralized place to enable software buyers to make better and faster decisions with confidence. And we are just getting started! We are setting out to transform the global B2B software industry and become the most trusted data foundation for buyers and sellers of software for the age of AI.
About Our People
About the Role
The Senior Analyst, Corporate Finance is a core contributor to the consolidated financial picture of the combined G2. This role supports three-statement modeling, monthly consolidation and reporting, expense planning, and analyses that inform capital allocation and scenario planning. It is a high-visibility individual-contributor role with direct exposure to senior leadership and the company’s operating rhythm.
In This Role, You Will:
- Support Consolidation & Three-Statement Modeling (30%): Maintain the consolidated three-statement model across all entities (US, India, Spain), supporting intercompany eliminations and entity roll-ups. Support the monthly consolidation process in partnership with Accounting and the Controller's organization. Track risks & opportunities (R&Os) and bridge consolidated actuals to plan and forecast.
- Deliver Financial Analysis & Modeling (30%): Build and refine models supporting capital allocation, scenario planning, and sensitivity analysis. Perform variance and trend analysis and ad hoc analysis to support leadership decisions. Support Corporate Development on post-acquisition tracking.
- Support Expense Planning & Budgeting (25%): Support the company expense planning and budgeting processes, including budget vs. actuals, forecasting, and variance analysis. Prepare budget and headcount views that give stakeholders visibility into remaining spend throughout the quarter. Process spend approvals and purchasing workflow (Zip), applying spend policy and flagging exceptions to the Director.
- Prepare MBR, Board & Investor Reporting (15%): Prepare MBR and Board deck financials and investor reporting packages with accuracy and consistency. Build executive-ready analysis of company performance against goals, budgets, and forecasts. Ensure consistency of key consolidated metrics across all reporting (TRR, EBITDA, uFCF, integration costs).
Minimum Qualifications
We realize applying for jobs can feel daunting at times. Even if you don’t check all the boxes in the job description, we encourage you to apply anyway.
- 4+ years of experience in FP&A, accounting, banking, consulting, or related fields.
- Proven use of AI, automation, or advanced analytics to improve efficiency.
- Strong three-statement modeling and advanced Excel skills.
- Track record of accurate, detail-oriented work in fast-paced, high-growth environments.
What Can Help Your Application Stand Out
- Experience with multi-entity consolidation and executive or Board reporting.
- B2B marketplace or SaaS exposure across multiple pricing models (subscription, ads, usage-based, freemium-to-paid).
- Proficiency in ERP & BI tools (Intacct, Looker, or similar).
- Strong written and verbal communication; ability to distill analysis into clear insights.