2-Year Analyst, Asset-Backed Finance Capital Markets
Carlyle·New York·United States·Investment Banking
Carlyle is hiring a 2-Year Analyst, Asset-Backed Finance Capital Markets in New York. Posted 2026-06-07; applications close 2026-08-06 (in 57 days).
Role details
Job Title
2-Year Analyst, Asset-Backed Finance Capital Markets
Location
New York, NY / OVA
Line of Business
Global Credit
Job Function
Investment Professionals
Date
Monday, May 18, 2026
Our Global Credit segment is a global, multi-product, markets-focused investment platform. Established in 1999 with our first high yield fund, Global Credit currently operates 142 active vehicles with more than 200 investment professionals and approximately $211 billion in AUM, as of December 31, 2025. Carlyle Asset-Backed Finance (ABF) invests primarily in private, directly originated credit instruments and structured equity, sourced, structured, and underwritten in-house. ABF leverages Carlyle’s 25-year history in structured credit, private asset underwriting, and capital markets capabilities to deliver tailored asset-backed financing solutions to businesses, specialty finance companies, banks, asset managers, and other originators and owners of assets. ABF is experiencing material growth and, as of December 31, 2025, has more than $10 billion of assets under management.
Role Overview
The Analyst will be based in New York, NY and will be an integral part of the Carlyle Asset-Backed Finance (ABF) team. The Analyst will help drive the capital markets, co-investment, and investment allocation efforts for Carlyle’s ABF-led transactions. The Analyst will be involved in all aspects of ABF capital markets efforts, with responsibilities including but not limited to:
Responsibilities
- Help manage the entirety of capital markets co-investment and syndication efforts for ABF transactions across asset classes
- Assist in structuring co-investment vehicles for institutional investors in coordination with internal & external counsels, incorporating legal, tax and investor-specific considerations
- Undertake financial / profitability analyses and market research for select strategic ABF initiatives
- Prepare external marketing literature, including teasers, memos and other diligence materials
- Maintain organized weekly and ad hoc tracking of various ABF investment pipelines
- Respond to investor diligence requests and maintain detailed tracking of investor engagement across internal and external capital sources
- Understand and communicate key transaction highlights and investment merits to both internal and external stakeholders
- Coordinate transaction timelines and logistics across deal teams, legal, compliance, tax and fund management to ensure smooth and timely capital allocation, execution & closing
- Engage with internal salesforce to assist in the capital formation process and facilitate investor onboarding
Qualifications & Requirements
- Bachelor’s degree in Finance, Economics, or related field
- 1–2 years of finance experience; prior experience in capital markets, investment banking, structured credit, or related areas is preferred
- Strong PowerPoint and Excel skills
- High attention to detail and strong organizational skills
- Excellent analytical, written and verbal communication skills
- Self-starter with a positive attitude and strong multi-tasking and prioritization abilities in a fast-paced environment
- Excellent interpersonal skills and demonstrated ability to work effectively as part of a team
- Tenacious, persistent, and humble—willing to go the extra mile with the right attitude
Benefits & Compensation
The compensation range for this role is specific to New York, NY and reflects factors including skill sets, experience, and training. The anticipated base salary is $120,000. In addition to the base salary, the role offers a comprehensive benefits package including retirement benefits, health insurance, life insurance, disability insurance, paid time off, paid holidays, family planning benefits, and wellness programs. The role may also be eligible to participate in an annual discretionary incentive program, dependent on individual and organizational performance.
About Carlyle
The Carlyle Group (NASDAQ: CG) is a global investment firm with $475 billion of assets under management across 678 investment vehicles as of March 31, 2026. Founded in 1987 in Washington, DC, Carlyle has grown into one of the world’s largest and most successful investment firms, with more than 2,500 professionals in 28 offices worldwide. Carlyle invests across Global Private Equity, Global Credit, and Carlyle AlpInvest, with deep expertise across industries, markets, and geographies. We emphasize development, retention, and inclusion through internal processes and employee resource groups (ERGs). Our CEO, Harvey Schwartz, has emphasized assembling leadership teams with diverse perspectives to drive enduring value.
How to Apply
Apply
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Applying to this role
This 2-Year Analyst, Asset-Backed Finance Capital Markets role at Carlyle runs through the firm's own careers portal and expects a CV and cover letter written specifically for the posting, not a portable submission carried across firms. Jorb AI's application agent tailors a CV and cover letter from your background to this posting and tracks the role alongside the rest of your applications.
Jorb AI tracks details for 2-Year Analyst, Asset-Backed Finance Capital Markets at Carlyle. Postings refresh hourly from primary careers pages. Job details mirror the firm's posting; the apply link goes directly to the source. Last refreshed 2026-06-09.
