Remote International Treasury Advisor

Cardinal Health

Dublin (CA)

Hybrid

USD 82,000 - 129,000

Full time

10 days ago
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Benefits offered by this job

Medical, dental and vision coverage
401k retirement plan
Paid time off
Health savings account (HSA)
Flexible spending accounts (FSAs)
Disability coverage
Parental leave
Wellness programs
Employee assistance program

Job summary

Cardinal Health is seeking a Treasury professional to support international treasury operations from Ohio. The role focuses on cash management, liquidity forecasting, funding optimization, and bank relationships in a fast-paced environment.

The ideal candidate has a Bachelor's in finance or related field and 3+ years treasury experience, strong Excel skills, and familiarity with treasury systems such as Kyriba. Occasional travel to Dublin, OH is required.

Qualifications

  • Bachelor's degree in Accounting, Economics, Finance, or related field or equivalent work experience.
  • 3+ years of corporate treasury experience preferred.
  • Strong Excel skills for modeling and data analysis.
  • Knowledge of banking products and treasury practices.

Responsibilities

  • Support daily international treasury operations including cash management, forecasting, and risk mitigation.
  • Monitor cash positions and liquidity to ensure funding for entities.
  • Identify efficient funding options and optimize liquidity.
  • Invest international cash per policy balancing liquidity, risk, and efficiency.
  • Advise on bank structures, products, and services.
  • Lead bank account opening/closing and cost-reduction efforts.
  • Support treasury projects, process improvements, and initiatives.
  • Develop treasury expertise and stay updated on trends.

Skills

Advanced Excel
Treasury knowledge
Analytical thinking
Communication skills
Independent working

Education

Bachelor's degree in Accounting, Economics, Finance, or related field

Tools

Kyriba

Job description

Cardinal Health is seeking a Treasury professional to support international treasury operations from Ohio. The role focuses on cash management, liquidity forecasting, funding optimization, and bank relationships in a fast-paced environment.

The ideal candidate has a Bachelor's in finance or related field and 3+ years treasury experience, strong Excel skills, and familiarity with treasury systems such as Kyriba. Occasional travel to Dublin, OH is required.

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