Director Treasury
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Build a Career That Builds Your Future - with PulteGroup! Welcome to PulteGroup where we believe in building more than just homes-we believe in building inspired employees, meaningful careers, and a legacy of excellence. If you're looking for work that moves you, a team that values your ideas, and a company that brings you pride, you've come to the right place. As one of the nation's largest and most respected homebuilders, PulteGroup offers opportunities to grow within a Fortune 500 company that's consistently recognized as a Fortune 100 Best Company to Work For and a certified Great Place to Work. We're driven by the bold purpose of Building Incredible Places for People to Live Their Dreams. For over 70 years, we've been building more than homes-we've been building trust, innovation, and a culture where every team member is empowered to thrive. Join a company that champions inclusion, celebrates diversity, and supports your personal and professional journey. Headquartered in vibrant Atlanta, Georgia, and operating in over 45 markets nationwide, we're proud to build homes through our trusted family of brands-including Innovative Construction Group, Centex, Pulte Homes, Del Webb, DiVosta Homes, American West, and John Wieland Homes and Neighborhoods, Pulte Mortgage, PGP Title, Pulte Insurance Agency -all united under the PulteGroup name. Apply now and discover a career where your contributions are valued, your growth is supported, and your work makes a lasting impact Job Summary: The Director Treasury is the senior leader of the corporate treasury function, partnering directly with the VP & Treasurer across every dimension of the company's capital and treasury activities. This is a true second-in-command role: the incumbent runs the day-to-day treasury operation, manages the treasury team, and owns execution end to end - while the VP & Treasurer retains decision authority and Board-facing recommendation responsibility. The role is built for an experienced finance professional - from a corporate treasury, investment banking, or capital markets background - who operates independently and brings judgment, not someone who needs direction. The incumbent is expected to run the business and come to the Treasurer for decision support, structuring input, and alignment on recommendations carried to the CFO, CEO, and Board Finance & Investment Committee. Success in this role positions the incumbent as the natural backstop to the Treasurer and a candidate for advancement within corporate finance. Primary Job Responsibilities Capital Markets & Debt Execution Lead execution of debt issuances, repurchases, and liability management transactions, including transaction structuring, documentation, and coordination with banks, counsel, and rating agencies. Develop the analytics and recommendations behind capital raises, refinancings, and targeted bond repurchases for the Treasurer's review and Board recommendation. Rating Agency & Banking Relationships Support the Treasurer in managing rating agency relationships - preparing agency materials, maintaining the credit narrative, and responding to diligence in connection with the company's investment-grade profile. Manage core banking relationships, credit allocation, fee analysis, and counterparty exposure across the bank group, and support fixed income investor relationships alongside the Treasurer. Share Repurchase Administration Administer the share repurchase program day to day, including 10b5-1 plan implementation, broker instructions, multi-broker rotation, and tracking against authorized cumulative caps. Maintain the repurchase framework analytics - price/book thresholds, daily spend parameters, and annual recalibration logic - and prepare the supporting materials for Finance Committee review. Liquidity, Cash & Forecasting Oversee liquidity management, cash positioning, short-term investments, and cash forecasting - directing the analyst team that performs the underlying work. Monitor liquidity and financial flexibility across the housing cycle, and surface the analysis and recommendations that help leadership maintain capacity to support operations, land and development spend, and capital return commitments. Own bank account structure, treasury operations, payments controls, and the treasury technology stack. Surety & Specialized Financing Manage the surety bond program - capacity, surety relationships, and issuance supporting subdivision, performance, and development obligations - supporting the Treasurer, who owns the relationships. Support community development district / municipal utility district bond activity and joint-venture financing as required. Capital Model & Board Materials Build, own, and continually improve the financial models underpinning corporate capital and M&A decisions, setting the standard for modeling rigor across the team and coaching analysts in disciplined model construction. Develop the analysis behind recommendations on repurchase
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