Core Treasury Manager
Aspire
Accounting & Finance
Karnataka, India
Posted on Mar 11, 2026
About The Company
Founders today are building global companies from day one — but the systems that manage their money were built for a different era. Aspire exists to change that!
We’re building the financial operating system for global founders, bringing banking, software, and automation into a single platform so businesses can move faster across borders and stay focused on building.
Aspire is built by people who think from first principles, care deeply about solving hard problems, and take real ownership of their work. Our team brings global experience from leading fintech and technology companies, and many of us are former founders and operators who understand what it takes to build thoughtfully, make trade-offs, and deliver at scale in a global environment.
Backed by leading global investors including Y Combinator, Peak XV, and Lightspeed, Aspire has been trusted by more than 50,000 startups and growing businesses worldwide to manage their finances since 2018. Together with partners like J.P. Morgan, Visa, and Wise, we’re building for the next generation of global companies.
About The Team
At Aspire, the Finance team plays a strategic and pivotal role in Aspire's continued expansion. Our comprehensive Finance function encompasses six key verticals: Financial Controlling, Treasury, Finance Analytics, Strategic Finance & Planning, Credit Risk, and Finance Strategy & Operations. From conducting in-depth strategic data analysis to spearheading Finance transformation initiatives with our Aspire software, you'll directly contribute to critical business decisions in a dynamic market. This is an exciting chance to be part of a team that values strategic thinking, innovation, and robust controls in a hyper-growth environment.
Key Responsibilities
Founders today are building global companies from day one — but the systems that manage their money were built for a different era. Aspire exists to change that!
We’re building the financial operating system for global founders, bringing banking, software, and automation into a single platform so businesses can move faster across borders and stay focused on building.
Aspire is built by people who think from first principles, care deeply about solving hard problems, and take real ownership of their work. Our team brings global experience from leading fintech and technology companies, and many of us are former founders and operators who understand what it takes to build thoughtfully, make trade-offs, and deliver at scale in a global environment.
Backed by leading global investors including Y Combinator, Peak XV, and Lightspeed, Aspire has been trusted by more than 50,000 startups and growing businesses worldwide to manage their finances since 2018. Together with partners like J.P. Morgan, Visa, and Wise, we’re building for the next generation of global companies.
About The Team
At Aspire, the Finance team plays a strategic and pivotal role in Aspire's continued expansion. Our comprehensive Finance function encompasses six key verticals: Financial Controlling, Treasury, Finance Analytics, Strategic Finance & Planning, Credit Risk, and Finance Strategy & Operations. From conducting in-depth strategic data analysis to spearheading Finance transformation initiatives with our Aspire software, you'll directly contribute to critical business decisions in a dynamic market. This is an exciting chance to be part of a team that values strategic thinking, innovation, and robust controls in a hyper-growth environment.
Key Responsibilities
- Develop, consolidate, and analyze daily, weekly, and monthly cash flow forecasts from various business units across the organization.
- Conduct detailed variance analysis between actual results and forecasts, collaborating with operational teams to continuously enhance forecast accuracy.
- Determine and manage short-term funding requirements and identify optimal short-term investment opportunities.
- Strategically optimize global cash balances and bank account structures to maximize interest income and minimize costs.
- Review new product flows, support business decision-making and associated liquidity actions.
- Design, enhance, and embed robust liquidity and cash management frameworks, policies, and procedures.
- Oversee and manage intercompany funding arrangements and actively work to improve investment yield across various corporate entities and bank accounts.
- A minimum of 6+ years of experience in building treasury processes and controls
- Excellent analytical skills and a hands-on attitude
- The ability to understand complex financial concepts and break them into smaller pieces
- Has a strong grasp of artificial intelligence concepts and the ability to apply AI tools and frameworks to solve real world problems at Aspire
- A bachelor’s and/ or master’s degree in a relevant discipline
- Experience as a Treasury Manager in a payments institution/ within the financial services industry would be preferred
- Understanding of safeguarding regulations, particularly MAS regulations
- Experience of working in a fast-paced company