About G2iG2i is a global talent platform connecting world-class software engineers with leading technology companies. We help organizations build high-performing remote engineering teams while creating meaningful opportunities for developers worldwide.As we continue to scale, we are looking for a Senior Financial Analyst to join our Finance team and help drive strategic financial planning, operational efficiency, and business performance across the organization.About the RoleWe are seeking a highly analytical and business-oriented Senior Financial Analyst to support G2i’s financial area and decision-making processes. This role will work closely with Finance leadership and cross-functional teams to manage the accounting and financials, ensure proper management of the cashflow, develop forecast and business performance, improve reporting and automate the main processes of the areaThe ideal candidate is detail-oriented, proactive, comfortable working in a fast-paced remote environment, and able to translate financial data into actionable business recommendations.ResponsibilitiesOwn and support core finance operations across accounting, FP&A, treasury, reporting, and business analysisSupport the monthly close process, including reconciliations, accruals, variance review, and financial statement analysisMonitor cash position, support treasury management, and manage cash flow planning and forecastingLead financial planning, budgeting, and forecasting processes across the organizationBuild and maintain financial models to support strategic initiatives, operational decisions, and resource allocationAnalyze monthly financial results to identify trends, risks, opportunities, and business performance driversPartner with cross-functional teams to improve financial visibility and operational performancePrepare executive-level reports, dashboards, and KPI tracking for leadershipSupport accounts payable, accounts receivable, vendor payments, contractor payments, and related finance workflows as neededAssist with tax, audit, compliance, banking, and lender-related requestsImprove and automate financial reporting processes and ensure data accuracy across financial systems and reporting toolsRequirements5+ years of experience in Corporate Finance, accounting or related fieldsStrong understanding of accounting principles, financial statements, reconciliations, accruals, and month-end close processesExperience with treasury, cash flow management, budgeting, forecasting, variance analysis, and KPI reportingStrong financial modeling and analytical skillsAdvanced proficiency in Excel/Google Sheets and financial reporting toolsExperience working with budgets, forecasts, variance analysis, and KPI reportingStrong business acumen and ability to communicate financial insights clearlyComfortable owning a broad range of finance responsibilities in a lean, fast-moving environmentExcellent organizational and problem-solving skillsProfessional English communication skills (written and verbal)Experience in fast-growing startups, tech companies, or international environments is a plusFP&A expertise is a strong plusFamiliarity with BI tools, accounting systems and financial systems is preferredWhat We OfferFully remote work environmentOpportunity to work with a global and collaborative teamHigh-impact role with visibility across the businessCompetitive compensationFlexible work culture focused on outcomes and autonomyGrowth opportunities within a scaling international companyHow to ApplyIf you are passionate about financial strategy, operational excellence, and helping scale a fast-growing global company, we’d love to hear from you.