Ovii Job Board

Treasury Operations Lead

aspora

Bangalore, India • Onsite - Bangalore, India • Full-Time • 5+ years

Posted 2026-06-30 BPO & Shared Services

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Job Description

Ovii's Interpretation of the Role

Aspora seeks a Treasury Operations Lead to own end‑to‑end treasury processes, including intraday liquidity, FX execution, inbound remittances and working‑capital modeling. The role is hands‑on, on‑site in Bangalore, and requires deep fintech or banking experience.

Role Snapshot

  • Lead treasury operations
  • Manage intraday cash positioning
  • Drive inbound remittance processing
  • Execute multi‑currency FX trades
  • Maintain working‑capital models
  • Ensure reconciliation accuracy

Must-Have Requirements

  • Treasury operations
  • Liquidity management
  • FX execution
  • Inward remittance processing
  • Multi‑currency cash positioning
  • Working capital modeling
  • Reconciliation accuracy
  • Treasury Operations
  • Liquidity Management
  • FX
  • On‑site work in Bangalore, India

Work Setup

  • Location: Bangalore, India
  • Work mode: ONSITE
  • Employment type: Full-Time

Not Specified in JD

  • Visa sponsorship
  • Salary range
  • Remote eligibility
  • Education requirement
  • Certifications
  • Relocation
  • Notice period
  • Travel

What You'll Likely Work On

  • Own real‑time cash positioning across nostro and partner accounts
  • Run foreign inward remittance operations end‑to‑end via SWIFT, SEPA and local rails
  • Execute FX across a multi‑currency book, managing exposure and timing asymmetries
  • Build and maintain working‑capital models covering prefunding schedules and corridor utilisation
  • Drive reconciliation accuracy, identify breaks early and resolve exceptions swiftly

Good Fit If You Have

  • 5+ years in treasury, liquidity or FX at a fintech, bank or high‑volume cross‑border firm
  • Hands‑on experience running inward remittance operations across multiple corridors
  • Comfortable navigating RBI/IFSC, UAE Central Bank, FCA or equivalent regulatory frameworks
  • High ownership mindset with bias for execution and process documentation

Skills

  • Treasury operations
  • Liquidity management
  • FX execution
  • Inward remittance processing
  • Multi‑currency cash positioning
  • Working capital modeling
  • Regulatory compliance across jurisdictions
  • Reconciliation & exception management