Treasury Advisor, Capital Markets and Financial Risk

Cardinal Health

Dublin (OH)

On-site

USD 82,000 - 129,000

Full time

4 days ago
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Benefits offered by this job

Medical, dental and vision
401k savings plan
HSA
Paid time off
MyFlexPay access
FSAs
Short- and long-term disability
Work-Life resources
Paid parental leave
Healthy lifestyle programs

Job summary

Cardinal Health, based in Dublin, Ohio, seeks a Treasury professional to oversee FX risk, hedging and liquidity management. The role supports corporate finance strategies, debt planning, and risk disclosures with exposure to global markets and treasury systems.

Ideal candidates will have a bachelor's degree and 2–3 years in finance, strong Excel skills, and experience with SAP/Hyperion and Bloomberg. This is a hybrid role with in-office work in Dublin and strong collaboration across teams.

Qualifications

  • Bachelor's degree in related field, or equivalent work experience, preferred
  • 2-3 years of corporate finance, banking, or public accounting experience preferred
  • Related professional designation (CFA, CTP, etc.) or MBA preferred
  • Advanced knowledge of Microsoft Excel (Pivot Tables, Lookup, Macros) and PowerPoint
  • Experience with a Treasury Management System (Kyriba, SAP) preferred
  • Experience with SAP and Hyperion Financial Management preferred
  • Experience with FXall, Bloomberg preferred
  • Data visualization tools (Tableau/Alteryx) and programming (R/Python) preferred
  • Excellent verbal and written communication skills
  • Strong analytical and problem-solving skills
  • Strong organizational skills and ability to balance priorities
  • Interest in global finance and data analytics helpful

Responsibilities

  • Support FX risk management programs through exposure identification and hedging strategy development
  • Support interest rate hedging programs through hedging strategy development
  • Monitor macro-economic trends to inform senior management
  • Assist in corporate funding plans and risk management strategies
  • Prepare liquidity, debt, cost of capital, derivatives, FX and exposure reporting
  • Support debt and derivatives financial disclosures
  • Participate in retirement planning governance with asset managers and consultants
  • Develop treasury operations best practices and process improvements
  • Assist in capital structure planning and scenario analysis
  • Assist in company share repurchase strategies
  • Manage relationships with global banks and financial product providers
  • Maintain and develop the treasury risk module of the Treasury Management System
  • Support cross-functional treasury projects as needed

Skills

FX risk management
Financial modeling
Excel advanced
Data analysis
Communication
Debt management
Financial reporting

Education

Bachelor's degree or equivalent
CFA/CTP/MBA preferred

Tools

Kyriba
SAP
Hyperion
FXall
Bloomberg
Tableau
Python/R

Job description

Ideal candidate will be based in Ohio with the ability to come into the Dublin, OH office monthly and quarterly! What Treasury contributes to Cardinal Health Finance oversees the accounting, tax, financial plans and policies of the organization, establishes and maintains fiscal controls, prepares and interprets financial reports, oversees financial systems and safeguards the organization's assets. Treasury develops, recommends, and executes financial policy with a focus on corporate finance, capital markets, financial risk, and global treasury operations. This job family sets an appropriate capital structure, ensuring that at all times the company has the liquidity to meet its obligations and fund strategic initiatives. Treasury also identifies and manages risks that could erode financial strength.

Responsibilities
  • Support FX risk management programs through exposure identification, hedging strategy development, trade execution, and position reporting
  • Support the company’s interest rate hedging programs through development and implementation of various hedging strategies
  • Monitor market research related to macro-economic, central bank policy, and other market driving trends to keep senior management informed
  • Assess global financial market conditions and assist in the development and execution of corporate funding plans and associated risk management strategies
  • Prepare reporting and calculations for liquidity, debt, cost of capital, derivatives portfolio, FX, counterparty exposures, settlements, etc.
  • Provide support for debt and derivatives financial disclosures
  • Participate in the company’s defined benefit and defined contribution retirement planning including participation in governance committees and plan oversight with asset managers, investment consultants, actuaries, custodians, other advisors
  • Develop and implement treasury operations best practices and help identify areas of improvement/provide recommendations to management
  • Support capital structure planning and analysis through financial modeling and scenario analysis
  • Assist in the development and execution of strategies pursuant to the Company’s share repurchase program
  • Assist in the management of relationships with global banking and financial product suppliers
  • Maintain and develop the risk module of the TMS
  • Support other Treasury and cross-functional projects as needed
Qualifications
  • Bachelor's degree in related field, or equivalent work experience, preferred
  • 2-3 years of corporate finance, banking, or public accounting experience preferred
  • Related professional designation (CFA, CTP, etc.) or MBA preferred
  • Advanced knowledge of Microsoft Excel (e.g., Pivot Tables, Lookup functions, Macros, Data consolidation etc.) and PowerPoint
  • Previous experience with a Treasury Management System (e.g. Kyriba, SAP, etc.) preferred
  • Experience with SAP (or its analogues) and Hyperion Financial Management preferred
  • Previous experience with FXall preferred
  • Previous experience with Bloomberg preferred
  • Data visualization and data analysis tools (e.g. Tableau/Alteryx, RStudio/Python) preferred
  • Excellent verbal and written communication skills
  • Demonstrated critical thinking, analytical and problem-solving skills with a keen ability to communicate complex concepts to diverse audiences
  • Strong organizational skills and ability to balance multiple competing priorities
  • High motivation, attention to detail, and demonstrated interest in global finance
  • Advanced data analytics capabilities and/or experience with automation through financial technology helpful

Anticipated salary range: $82,100-$128,920 Bonus eligible: No

Benefits
  • Medical, dental and vision coverage
  • Paid time off plan
  • Health savings account (HSA)
  • 401k savings plan
  • Access to wages before pay day with myFlexPay
  • Flexible spending accounts (FSAs)
  • Short- and long-term disability coverage
  • Work-Life resources
  • Paid parental leave
  • Healthy lifestyle programs

Application window anticipated to close: 10/26/2026

The salary range listed is an estimate. Pay at Cardinal Health is determined by multiple factors including, but not limited to, a candidate’s geographical location, relevant education, experience and skills and an evaluation of internal pay equity.

Candidates who are back-to-work, people with disabilities, without a college degree, and Veterans are encouraged to apply. Cardinal Health supports an inclusive workplace that values diversity of thought, experience and background. We celebrate the power of our differences to create better solutions for our customers by ensuring employees can be their authentic selves each day. Cardinal Health is an Equal Opportunity/Affirmative Action employer. All qualified applicants will receive consideration for employment without regard to race, religion, color, national origin, ancestry, age, physical or mental disability, sex, sexual orientation, gender identity/expression, pregnancy, veteran status, marital status, creed, status with regard to public assistance, genetic status or any other status protected by federal, state or local law.

To read and review this privacy notice click here

Headquartered in Dublin, Ohio, Cardinal Health, Inc. (NYSE: CAH) is a distributor of pharmaceuticals, a global manufacturer and distributor of medical and laboratory products, and a provider of performance and data solutions for healthcare facilities. We are a crucial link between the clinical and operational sides of healthcare, delivering end‑to‑end solutions and data‑driving insights that advance healthcare and improve lives every day. With deep partnerships, diverse perspectives and innovative digital solutions, we build connections across the continuum of care. With more than 50 years of experience, we seize the opportunity to address healthcare’s most complicated challenges — now, and in the future.

View Cardinal Health on YouTube

If your personal information has changed and needs edited, please contact your recruiter for assistance. If you have not yet been contacted by a recruiter, please email us at cardinalcareers@cardinalhealth.com for assistance.

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