Role Profile R-01 · 25 Open Positions

Director — Treasury Operations

Location New York City Function Treasury & Capital Engagement Full-Time Layer Institutional Operations
Institutional Context 01 of 08

Aspera Edge operates as the institutional control layer above treasury management and payments infrastructure across multi-entity global enterprises. Treasury operations within this architecture coordinate continuous-time position, exposure, and settlement across counterparty institutions, jurisdictional boundaries, and banking infrastructure providers.

The Director — Treasury Operations is the operating principal of this function. The role establishes how institutional treasury is deployed, maintained, and synchronized across the counterparty institutions Aspera Edge serves — and sets the operating standards that the broader treasury organization is built around.

Role Mandate 02 of 08

Lead treasury operations across multi-entity, multi-currency, multi-bank institutional counterparties. Establish the operating standards by which institutional treasury is deployed and maintained at scale within Aspera Edge's continuous-time control architecture.

The Director operates as the institutional treasury principal — owning the operational integrity of cash and securities positioning, banking relationship operations, FX translation logic, intercompany consolidation pathways, and exposure surfacing protocols across the counterparty book. This is not a treasury policy function. It is an operating leadership function.

Day-to-day, the role coordinates with Liquidity & Capital Operations on intraday positioning, with Financial Infrastructure Oversight on banking integration and settlement architecture, with Institutional Risk on exposure governance, and with Institutional Engagement on counterparty operational integration. The Director is expected to translate the architectural commitments of the platform into specific operating standards — and to enforce those standards consistently across counterparty deployments.

The function operates against the institutional reality that treasury must be continuous, synchronized, and audit-primary across multi-entity global enterprises. The Director's mandate is to ensure that reality holds operationally across counterparty institutions, regardless of jurisdictional, currency, or banking infrastructure complexity.

Core Responsibilities 03 of 08
  • Lead institutional treasury operations across counterparty institutions, establishing operating standards and ensuring consistent execution across multi-entity deployments
  • Own the operational integrity of cash and securities position management, including position reconciliation, exception protocols, and exposure surfacing across the counterparty book
  • Direct banking relationship operations across institutional counterparties, including operational integration, banking protocol coordination, and integration governance with counterparty banking providers
  • Oversee FX translation, multi-currency position synchronization, and currency corridor management across counterparty operations spanning jurisdictions and time zones
  • Coordinate intercompany consolidation pathways, intercompany settlement timing, and multi-entity position reconciliation across counterparty group structures
  • Establish operational escalation pathways and exception handling protocols across the treasury function, ensuring institutional continuity under operational pressure
  • Coordinate cross-functional treasury operations with Liquidity & Capital Operations, Financial Infrastructure Oversight, Institutional Risk, Legal & Structural Operations, and Institutional Engagement
  • Translate Aspera Edge architectural commitments into treasury operating standards; ensure standards are codified, communicated, and enforced consistently across counterparty deployments
  • Represent the treasury function in counterparty operational discussions, institutional reviews, and executive-level coordination with counterparty CFO and Treasurer offices
Operational Environment 04 of 08
  • Multi-entity, multi-currency, multi-bank institutional counterparties operating across global jurisdictions
  • Cross-border treasury coordination spanning New York, London, and Singapore operational anchors
  • Continuous-time treasury position and exposure synchronization across counterparty institutions
  • Institutional banking counterparties including correspondent banking, treasury services providers, and integrated banking platforms
  • Multi-rail settlement infrastructure including SWIFT, ACH, SEPA, FedNow, RTP, and instant rail systems across APAC, EMEA, and Americas corridors
  • Counterparty CFO and Treasurer offices at multinational enterprises operating across regulated jurisdictions
  • Internal coordination with Liquidity & Capital Operations, Financial Infrastructure Oversight, Institutional Risk, and Legal & Structural Operations
Reporting & Coordination 05 of 08
Reports to
Chief Operating Officer
Coordinates with
  • Liquidity & Capital Operations
  • Financial Infrastructure Oversight
  • Institutional Risk
  • Institutional Engagement
  • Legal & Structural Operations
Qualification Threshold 06 of 08
  • 12+ years institutional treasury operations leadership at top-tier bank treasury, multinational corporate treasury, institutional asset manager, or comparable institutional finance environment
  • Demonstrated leadership of treasury operations at multi-entity global enterprise scale, including operational standards establishment and cross-functional treasury coordination
  • Operating exposure to multi-currency treasury positioning, FX translation governance, intercompany consolidation, and exposure surfacing protocols at institutional scale
  • Working knowledge of institutional banking infrastructure, banking counterparty operations, correspondent banking architecture, and treasury services provider integration
  • Cross-jurisdictional treasury experience spanning at least two of the following operational anchors: Americas, EMEA, APAC
  • Executive coordination experience with counterparty CFO and Treasurer offices, including institutional treasury reviews and counterparty operational governance
  • Operational discipline appropriate for institutional infrastructure environments — procedural rigor, audit primary posture, escalation pathway management
Selection Signals 07 of 08

Strong candidates typically demonstrate:

  • Institutional treasury coordination experience across multi-entity counterparty groups, with operational ownership rather than advisory engagement
  • Operational leadership across multiple jurisdictions, including standards establishment, cross-functional coordination, and operational continuity under jurisdictional complexity
  • Direct exposure to banking infrastructure environments — correspondent banking, treasury services, institutional banking integration — at operating depth rather than relationship management depth
  • Treasury operations at enterprise scale, including position management across currencies, jurisdictions, and counterparty institutions
  • Cross-functional coordination under operational pressure — escalation pathways, exception handling, time-compressed coordination across counterparty institutions and internal functions
  • Operational seriousness — calm under institutional pressure, procedural discipline, audit primary posture, comfortable operating within institutional infrastructure realities
Engagement Structure 08 of 08
  • Institutional compensation architecture calibrated to top-tier institutional finance market standards
  • Senior institutional operator collaboration across treasury, risk, infrastructure, engagement, and legal functions
  • Cross-jurisdictional operational exposure across New York, London, and Singapore institutional anchors
  • Long-horizon infrastructure formation — building institutional treasury operating standards from foundational stage through operational scale
  • International operational exposure across counterparty institutions, banking counterparties, and multi-jurisdictional regulatory environments
Institutional Application Qualified Engagement Pathway

Qualified operators may proceed through institutional review aligned with operational requirements, jurisdictional considerations, and treasury infrastructure exposure. Application proceeds through a structured intake process designed for institutional operator engagement.

Proceed to Institutional Application