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Aspora is seeking a Treasury Manager to build and manage our treasury function in Dubai. You will handle foreign exchange, liquidity, and banking partnerships, taking ownership of strategy and execution in a hands-on role. Join us to innovate in financial services and impact global banking for immigrants.
Aspora is building a Financial Services platform for immigrants around the world. We are backed by influential venture capitalists like Sequoia Capital, Greylock Partners, Hummingbird Ventures, Y Combinator, & Global Founders Capital, and are on a mission to simplify global banking as easily as booking an Uber.
We’re first taking on the Indian diaspora - the largest and wealthiest immigrant population. 18 million Non-Resident Indians hold over $1.5T in wealth of which $500B is back in India. They remit $125B back every year and account for 25% of all real estate purchases in India. Yet, the banking experiences of these NRIs are archaic. We’re building a new age platform to service these NRIs with cross border money movement.
We are a team of 50 that works with the intensity and the agility of a sports team. With innovation, hustle, and collaboration at our core, we aim to build better banking for all immigrants around the world. Discover more about our work, our ethos, and our vision on our website, Aspora
As our Treasury Manager, you’ll be the first dedicated hire who will build and run our treasury function end to end. You’ll establish the backbone for how Aspora handles foreign exchange, liquidity, and banking partnerships across multiple geographies and asset types.
You’ll work closely with the founder, engineers, and external banking partners to ensure we’re running a capital-efficient, high-velocity cross-border business. This is a hands-on role that blends execution with strategic ownership.
Location: Dubai | In Office
Daily FX & Liquidity Operations: Execute forex bookings, monitor market trends, and ensure efficient cash flow management.
Hedging & Risk Strategy: Design and implement hedging strategies to manage currency and liquidity risk.
Banking Partnerships: Build and manage relationships with global banking partners and payment providers.
Capital & Compliance: Support debt capital raising initiatives and ensure all treasury operations meet regulatory standards.
Process Design: Set up and streamline treasury systems, tools, and processes from the ground up.
4+ years of dedicated Treasury, FX, or Capital Markets experience at a bank and/or fintech, preferably managing daily flows and cross-border exposure in exotic currencies
You’ve done the actual booking, worked with T+0 pressure, and can set up SOPs from scratch.
Familiar with multi-currency cash flow, international corridors, and exotic currency management.
You don’t wait for instructions—you build, automate, and iterate.
Comfortable working with banks, regulators, and cross-functional teams.
Bonus points if you’ve dabbled in digital FX, or DeFi primitives.
You’re excited by the challenge of building treasury infrastructure from 0 to 1.
You think in models, automate for scale, and obsess over capital efficiency.
You take pride in precision—yet move fast when speed matters more than perfection.
You’ve seen high-volume transactions, pressure-tested decisions, and thrive in chaos.
You want to learn by doing—and eventually grow into a Head of Treasury role.
Build a high-stakes treasury function from the ground up.
Gain exposure to fiat, digital assets, and everything in between across UK, UAE, EU, and beyond.
Your work will directly affect how users trust, transact, and grow wealth across borders.
Competitive salary and early-stage ESOPs.
Mission-driven, fast-moving, and deeply collaborative.
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