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CareFusion is a global corporation serving the health care industry with products and services that help hospitals measurably improve the safety and quality of care. We develop market-leading technologies including Alaris® IV pumps, Pyxis® automated dispensing and patient identification systems, AVEA® and Pulmonetic Systems ventilation and respiratory products, ChloraPrep® and MedMined™ services for infection prevention, neurological monitoring and diagnostic products, V. Mueller® surgical instruments, and an extensive line of products that support interventional medicine. Headquartered in San Diego, CA, we employ more than 15,000 people in more than 20 countries worldwide.
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| Advisor, Treasury Corporate Finance (Associate, Capital Markets |

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CareFusion Corporation, a wholly owned subsidiary of Cardinal Health (NYSE:CAH), is expected to become a public company with the planned spinoff of the clinical and medical products businesses of Cardinal Health. The global company serves the health care industry with products and services that help hospitals measurably improve the safety and quality of healthcare. CareFusion develops market-leading technologies including Alaris® IV pumps, Pyxis® automated dispensing and patient identification systems, AVEA and Pulmonetic Systems™ ventilation and respiratory products, ChloraPrep® for infection prevention and MedMined™ services for infection surveillance, neurological monitoring and diagnostic products, V. Mueller® surgical instruments and an extensive line of products that support interventional medicine. CareFusion employs more than 15,000 people across its global operations. The company has applied to have its shares of common stock listed on the New York Stock Exchange under the ticker symbol "CFN." More information may be found at www.carefusion.com. JOB TITLE: Advisor, Treasury Corporate Finance (Associate, Capital Markets and Planning) Every day at CareFusion, we work to improve patient care. By combining clinically proven products and services with actionable intelligence, we're helping to solve some of healthcare's most difficult challenges. Join us. Function: Finance Centers of Expertise Family: Treasury Corporate Finance What Treasury Corporate Finance contributes to CareFusion Treasury Corporate Finance is responsible for capital structure, shareholder return analyses, corporate financing strategies and execution, M&A analysis, financial benefit plan investments, foreign currency and interest rate risk management. Serves as company advocate to debt and equity investors, commercial and investment banks, rating agencies. What is expected of you for success in your role - Demonstrates advanced knowledge of corporate finance theory
- Demonstrates the ability to apply corporate finance theory and capital methods concepts knowledge in the context of industry and market trends
- Analyzes the data and conclusions and makes recommendations about policy direction
- Prepares complex financial projection models, performs complex firm valuations and makes recommendations based on findings
- Strong understanding of capital markets and economic theory. Strong analytical capabilities and excellent spreadsheet modeling capabilities
- Executes capital market trades and interprets data to execute investment, financing and hedging strategies
What is expected of you and others at this level in Finance - Center of Expertise for functional success - Works to understand complex functional situations by paying attention to the details of the tasks at hand and by breaking them down into smaller pieces
- Uses deep subject matter/functional expertise, influence and process skills to help internal/external customers and stakeholders identify and meet their high priority needs while considering cultural and diversity implications.
- Demonstrates deep customer expertise; collaborates with appropriate parties to identify the drivers leading to business success.
- Encourages informed Risk-taking and acts as a catalyst for innovation at Cardinal Health; generates practical, sustainable and creative options to solve problems and create business opportunities, while maximizing existing resources.
- Proactively develops and maintains technical knowledge in specialized area(s), remaining up-to-date on current trends and best practices;
Accountabilities in this role Capital Markets and Planning spans most non-operational Treasury activities, including financing transactions, financial risk management (FX, interest, commodities), subsidiary funding/capitalization/ repatriations, M&A coordination, capital planning (financial policies) and investments. The associate's responsibilities, which would evolve over time, would encompass multiple areas within the broader group. Qualifications - MBA required
- Minimum of 1 year corporate treasury or banking experience post-MBA. Applicable pre-MBA experience
- Must be able to build rapport and work effectively with multiple levels
- Excellent written and verbal communication
- Ability to analyze and resolve complex problems under uncertainty
- "Deep" generalist with solid foundation in theoretical and applied finance
- Strong leadership and teaming potential
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