Make confident treasury and capital decisions
Health system CFOs and treasurers face pressure to protect liquidity, fund strategic priorities, and preserve flexibility in volatile, constrained markets.
Capital strategy cannot stay siloed
Treasury, capital, and asset decisions affect far more than financing cost. They shape liquidity, credit strength, operating flexibility and the organization's ability to invest with confidence. Leaders need one connected view across borrowing, treasury operations, equipment financing, investments and real estate so capital decisions reinforce enterprise strategy.
Vizient helps leaders connect treasury operations, debt capital, equipment financing, investments and real estate decisions so financial assets support enterprise strategy instead of fragmenting it.
In practice
What better treasury management enables
Treasury transforms your financial ecosystem
Modern treasury technology positions finance at the center, unifying data and accelerating strategic decisions.
Protect operations when systems go dark
Operational resiliency maintains critical treasury functions, protects liquidity, and sustains care during system outages.
Access capital for strategic priorities
Strategic capital planning balances traditional debt, alternative financing, and disciplined deployment to advance mission priorities.
Hospitals can’t afford to be all things anymore. It’s time to decide what stays, what goes and who will help fund what’s left.
Market leadership multiplies client success
Advising on billions in bond transactions and managing substantial portfolios positions our clients to access capital strategically and protect financial sustainability.
Not-for-profit healthcare bond transactions
Since 2020, Kaufman Hall, a Vizient company, has advised on $68.4 billion of not-for-profit healthcare bond transactions, representing over 44% of the total principal amount transacted.
Market share in financial advisory services
Based on the 2020-2025 YTD issuance, Kaufman Hall maintains a 44% market share in financial advisory services.
Managed in fixed income portfolios
Kaufman Hall Investment Management pricing experts manage ~$2.4 billion in fixed income portfolios.
PRODUCTS
The capabilities behind the work
Treasury & capital markets strategy
Build a comprehensive balance sheet strategy that strengthens resiliency with our experts
Treasury operations optimization
Improve your treasury operations platform with a more strategic approach
Debt and capital markets advisory
Secure funding on stronger terms with guidance built to protect credit strength and preserve long-range flexibility
Investment management strategy
Align investment decisions to liquidity needs, risk tolerance and enterprise priorities instead of treating them as a separate financial track.
Real estate and balance-sheet advisory
Use portfolio optimization and transaction strategy to make real estate assets support broader performance goals.
STRATEGIC CAPITAL ADVISORY
Lower capital cost without losing strategic flexibility
LIQUIDITY OPTIMIZATION
Turn treasury operations into a stronger financial asset
Better banking design, workflow automation, cash positioning, and risk oversight help organizations surface liquidity that is often trapped inside fragmented treasury operations.
INTEGRATED CAPITAL PLANNING
Bring every capital decision into the same enterprise view
Equipment financing, investments, and real estate decisions become stronger when they are governed as part of the same balance-sheet and growth conversation.
ASSESS YOUR ORGANIZATION
See your organization's performance in perspective
See how your governance compares and where to focus next.