Treasury Capital Markets Risk Strategist

Cardinal Health

Dublin (CA)

Hybrid

USD 82,000 - 129,000

Full time

14 days+
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Benefits offered by this job

Medical coverage
Dental coverage
Vision coverage
401k savings plan
HSA

Job summary

Cardinal Health is seeking a Treasury professional based in Ohio with hybrid work, requiring monthly in-office visits to Dublin. The role focuses on FX risk, debt management, and capital structure within a global treasury framework.

Ideal candidates have 2–3 years in corporate finance, strong Excel skills, and experience with Treasury Management Systems. The position offers a comprehensive benefits package and a clear growth path.

Qualifications

  • Bachelor's degree in related field, or equivalent work experience.
  • 2-3 years of corporate finance, banking, or public accounting experience preferred.

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

Skills

Analytical thinking
Communication skills
Attention to detail
Team collaboration

Education

Bachelor's degree

Tools

Kyriba
SAP
Hyperion Financial Management
FXall
Bloomberg
Tableau
R/Python

Job description

Cardinal Health is seeking a Treasury professional based in Ohio with hybrid work, requiring monthly in-office visits to Dublin. The role focuses on FX risk, debt management, and capital structure within a global treasury framework.

Ideal candidates have 2–3 years in corporate finance, strong Excel skills, and experience with Treasury Management Systems. The position offers a comprehensive benefits package and a clear growth path.

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