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Aspora, located in Bengaluru, is seeking a Treasury Operations Lead to manage treasury operations for $6B+ in annual flows. The successful candidate will oversee cash positioning, foreign inward remittance operations, and FX execution, ensuring operational precision and scalability.
This hands-on role requires deep expertise in liquidity management and treasury operations. Candidates with strong ownership and experience in multi-currency environments will thrive in Aspora’s dynamic, impactful setting.
People on the move deserve a bank that moves with them. Since 2022, Aspora has been building a borderless financial operating system that makes money as mobile and transparent as its users.
Backed by influential venture capitalists like Sequoia Capital, Greylock Partners, Hummingbird Ventures, Y Combinator & Global Founders Capital. We're a team of 150+ across India, the UK, the UAE, EU and the US, working with extreme ownership, radical candour, and an obsession with customer impact.
We celebrate builders who question assumptions, ship fast, and turn regulatory complexity into elegant solutions. If you’re driven to redefine what global banking can be, we’d love to build the future with you.
Aspora is processing $6B+ in annual cross-border flows. Treasury Operations is the function that keeps every dollar, dirham, and pound moving reliably. This role exists to run it. We build payment and treasury infrastructure that is fast, transparent, and trusted — across fiat, digital assets, and complex cross-border corridors. Treasury is central to this mission: it’s the system that ensures every promise we make to customers is operationally sound, liquid, and scalable.
We are looking for a Treasury Operations Lead who combines operational precision with a builder’s mindset. This role is ideal for someone who wants to develop deep expertise in multi-currency treasury operations, settlements, and liquidity management, and use that expertise to help shape how Aspora scales globally.
You will own intraday liquidity, FX execution, foreign inward remittance operations, and the working capital discipline that underpins corridor performance. You will work closely with the Head of Treasury and Finance to keep positions tight, reconciliations clean, and processes built to scale.
This is a hands‑on role. You are in the positions, in the models, and in the room when decisions get made.