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Treasury Operations Analyst or Treasury Operator

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Aspora

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Location:
India , Bangalore

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Category:

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Contract Type:
Not provided

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Salary:

Not provided

Job Description:

Aspora is redefining how businesses move money globally. 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 Analyst / Treasury Operator 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 be a core member of the Treasury function, owning day-to-day cash positioning, settlements, reconciliations, and liquidity planning across multiple corridors and partners. Beyond running daily operations, you will work closely with Finance, Trading, Product, and Engineering teams to strengthen controls, improve automation, and design treasury workflows that are resilient, efficient, and future-ready. This is a hands-on individual-contributor role (4–8 years experience) with high ownership and visibility. You’ll operate at the heart of Aspora’s money movement engine — where accuracy, judgement, and speed directly impact trust, growth, and scale.

Job Responsibility:

  • Daily Treasury Operations: Manage cash positioning, settlement cycles, and inter-company funding movements across currencies and corridors
  • Liquidity & Planning: Track daily balances, forecast needs, and work with growth and product teams to ensure liquidity sufficiency for projected TPV
  • optimize working capital and funding costs across corridors
  • Reconciliation & Reporting: Ensure daily reconciliations across nostro, internal, and partner accounts
  • resolve breaks promptly and maintain high control accuracy across treasury workflows
  • Automation & Systems: Build simple automation from partner docs to make treasury workflows faster and smarter
  • Banking & Partner Coordination: Coordinate with banks and partners to enable seamless settlements and real-time cash-flow forecasting

Requirements:

  • 4+ years in Treasury / FX / 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 exotic currency management
  • 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

Nice to have:

Bonus: exposure to digital FX, blockchain technologies, or DeFi-like primitives

What we offer:

Competitive salary and early-stage ESOPs

Additional Information:

Job Posted:
February 21, 2026

Employment Type:
Fulltime
Work Type:
On-site work
Job Link Share:

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