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Forex / FX Trading Analyst

India, Bangalore · Job Posted February 21, 2026
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Job Description

Aspora is building the next generation of global money movement — spanning fiat, digital assets, and complex cross-border corridors. At the center of this engine sits FX: pricing risk, managing exposure, and ensuring that every transaction is executed efficiently, transparently, and at scale. As an FX Trading Analyst, you will be a core part of Aspora’s currency operations, supporting day-to-day FX execution, exposure tracking, and market monitoring across multiple corridors. This role is designed for someone who wants to build deep, hands-on expertise in how FX markets intersect with real-world payments, liquidity, and treasury operations. You’ll work closely with senior traders and the treasury team to support pricing decisions, monitor market movements, track positions, and ensure clean execution from trade to settlement. Beyond execution support, you’ll contribute to reporting, tooling, and process improvements that help Aspora scale its FX capabilities with discipline and speed. This is a hands-on, market-facing individual contributor role (2–4 years experience) with strong learning exposure and ownership. You’ll sit at the intersection of markets, operations, and technology — where attention to detail, sound judgement, and curiosity about currency dynamics directly shape how Aspora moves money globally.

Job Responsibility

  • FX Execution Support: Assist in booking and executing daily spot and forward trades
  • Exposure Management: Track positions, update exposure reports, and assist in executing derivative strategies and hedging positions
  • Market Monitoring: Track currency moves, macro events, and rate shifts across key corridors
  • Reporting: Prepare daily trading summaries, rate sheets, and dashboards for internal visibility
  • Automation & Tools: Help enhance trade booking and exposure monitoring systems with product/engineering teams.

Requirements

  • 2-4 years in FX / Trading / Capital Markets, ideally across banks, fintechs, or high-volume cross-border environments
  • Hands-on experience with daily FX booking, liquidity positioning, settlements, and fund movements, including T+0/T+1 execution cycles
  • Strong grounding in treasury FinOps, reconciliations, cash-flow allocation, and MIS/reporting
  • Track record of managing banking and liquidity-provider relationships — negotiating terms, coordinating on operational issues, and ensuring corridor reliability
  • Ability to design and operationalise SOPs, controls, reconciliation workflows, and risk frameworks from scratch
  • Solid understanding of multi-currency liquidity, cross-border corridors, and emerging instruments like digital assets and stablecoins. Comfortable working with banks, regulators, finance, product, and engineering teams
  • Bias for building and automation — you don’t wait for instructions
  • you design, improve, and scale
  • 2–4 years of experience in FX Trading / Treasury Operations / Dealing Room Support
  • Solid understanding of FX instruments (spot, forward, swaps) and trade lifecycles
  • Proficiency with Bloomberg / Reuters / Treasury systems (or a strong desire to learn)
  • Comfort with numbers, market volatility, and fast decision-making environments
  • Bachelor’s or Master’s in Finance, Economics, or related field.

Nice to have

  • CFA/FRM Level 1 is a plus
  • Bonus: exposure to digital FX, on-chain liquidity rails, or DeFi-like primitives.

What we offer

Competitive compensation + growth pathways into trading and treasury leadership.

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