- Build, maintain, and enhance cashflow models for ABF assets and securitization structures, incorporating waterfalls, triggers, eligibility criteria, credit enhancement, and reinvestment assumptions.
- Produce scenario and sensitivity analyses to evaluate the impact of market dynamics, asset performance, and structural changes.
- Support modeling needs for new and existing investments.
- Prepare valuation packages and analytical materials for valuation processes.
- Analyze asset-level and facility-level performance trends, including delinquencies, prepayments, charge-offs, recoveries, and collateral migration.
- Evaluate expected returns, risk profiles, and projected cashflows to support ongoing portfolio surveillance.
- Support leverage and cash analytics for financing facilities.
- Coordinate with Investment Teams to support underwriting, asset onboarding, and ongoing credit monitoring.
- 1-5 years of experience in ABS, CLOs, structured credit, private credit, securitization analytics, valuations, financial operations, or a related financial modeling role.
- Strong proficiency in Excel-based modeling.
- Experience analyzing loan-level datasets, waterfalls, borrowing bases, or securitization structures.
- Strong analytical and quantitative skills.
- Ability to manage multiple deadlines and communicate clearly across diverse stakeholders.
- Demonstrated ability to interpret complex legal and structural documentation and translate it into model logic.
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Associate, ABF Asset Management - New York - Carlyle
Description
Basic informationJob Name:
Associate, ABF Asset Management - Modeling & Valuations
Location:
New York/OVA
Line of Business:
Global Credit
Job Function:
Investment Professionals
Date:
Wednesday, February 18, 2026
Position Summary
Carlyle Global Credit is seeking a highly motivated Associate to join the ABF (Asset-Backed Finance) Asset Management team, with a primary focus on cashflow modeling, valuations, and analytical support across the ABF portfolio. This individual will be responsible for building, maintaining, and reviewing asset-level and facility-level models that support valuation processes, performance monitoring, structural analysis, and decision-making across Carlyle's ABF strategies.
The Associate will work closely with the ABF Asset Management and Investment Teams to ensure accurate modeling, forecasting, and valuation. This role offers meaningful exposure to ABS and structured credit investing and securitization structures.
Responsibilities
Cashflow Modeling
The compensation range for this role is specific to New York, NY, and takes into account a wide range of factors including but not limited to the skill sets required/preferred; prior experience and training; licenses and/or certifications.
The anticipated base salary range for this role is $110,000 to $150,000.
In addition to the base salary, the hired professional will enjoy a comprehensive benefits package spanning retirement benefits, health insurance, life insurance and disability, paid time off, paid holidays, family planning benefits and various wellness programs. Additionally, the hired professional may also be eligible to participate in an annual discretionary incentive program, the award of which will be dependent on various factors, including, without limitation, individual and organizational performance.
Due to the high volume of candidates, please be advised that only candidates selected to interview will be contacted by Carlyle.
Company Information
The Carlyle Group (NASDAQ: CG) is a global investment firm with $477 billion of assets under management and more than half of the AUM managed by women, across 678 investment vehicles as of December 31, 2025. 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 operating in 27 offices in North America, Europe, the Middle East, Asia and Australia. Carlyle places an emphasis on development, retention and inclusion as supported by our internal processes and seven Employee Resource Groups (ERGs). Carlyle's purpose is to invest wisely and create value on behalf of its investors, which range from public and private pension funds to wealthy individuals and families to sovereign wealth funds, unions and corporations. Carlyle invests across three segments - Global Private Equity, Global Credit and Carlyle AlpInvest - and has expertise in various industries, including: aerospace, defense & government services, consumer & retail, energy, financial services, healthcare, industrial, real estate, technology & business services, telecommunications & media and transportation.
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