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Aspora is building the next generation of global money movement — across fiat, digital assets, and complex cross-border corridors. At the center of this engine sits Treasury and FX: deciding where capital sits, how fast it moves, what it costs, and how risk is managed at scale. As the Treasury & FX Trading Lead, you will own the end-to-end flow of money across Aspora’s ecosystem — from collections and prefunding to FX execution, settlement, and liquidity optimization across currencies and corridors. This is a hands-on, high-ownership role. You will actively execute FX, manage real-time liquidity, design exposure frameworks, and build the operating backbone that keeps Aspora capital-efficient, resilient, and settlement-reliable under pressure.
Job Responsibility:
Liquidity & Working Capital: Own working capital cycles end-to-end, build intraday and forward liquidity forecasts, and minimize idle cash across currencies and corridors
FX Execution & Risk: Execute and optimize FX (including exotics), manage spreads and margins, define exposure limits, and implement practical hedging strategies
Banking & Rails: Manage banking and payment-rail partnerships with clear SLAs to ensure uptime, cut-off coverage, and settlement reliability
Capital & Economics: Apply cost-of-capital thinking to prefunding and settlement decisions
support funding facilities and liquidity runway reporting