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Asset Backed Jobs (NOW HIRING)

Experience underwriting, structuring, and reviewing consumer, residential, and commercial whole loan pools, asset-backed securitizations, and private asset-backed credit facilities * Superior ...

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Asset Backed information

What are asset backed professionals and what do they do?

Asset backed professionals are specialists who work with financial products backed by pools of assets, such as loans, leases, or receivables. They structure, analyze, and manage asset-backed securities (ABS), ensuring these products are accurately valued and compliant with regulations. Their responsibilities can include assessing credit risk, performing due diligence, and monitoring the ongoing performance of the underlying assets. These professionals often work in investment banks, rating agencies, or financial advisory firms, helping clients invest in or issue asset-backed securities.

What is the difference between Asset Backed vs Asset Management?

AspectAsset BackedAsset Management
CredentialsTypically requires finance, accounting, or related certificationsRequires finance, investment, or related certifications
Work EnvironmentFinancial institutions, loan servicing, securitization firmsInvestment firms, banks, asset management companies
Industry UsageLoan origination, securitization, structured financeInvestment portfolios, fund management, asset allocation

Asset Backed roles focus on structuring, valuing, and managing assets used as collateral for loans, often within finance and securitization sectors. Asset Management involves overseeing investment portfolios and managing assets to meet client goals. While both roles deal with assets, Asset Backed positions are more finance and securitization-oriented, whereas Asset Management emphasizes investment strategy and client wealth growth.

What are the key skills and qualifications needed to thrive as an Asset Backed Securities Analyst, and why are they important?

To thrive as an Asset Backed Securities (ABS) Analyst, you need a solid background in finance, strong analytical skills, and a relevant degree in fields like finance, economics, or accounting. Expertise in financial modeling tools such as Excel, Bloomberg Terminal, and familiarity with securitization structures are typically required, along with certifications like CFA being advantageous. Attention to detail, problem-solving abilities, and effective communication are essential soft skills for evaluating assets and presenting findings. These competencies are crucial for accurately assessing risk, making informed investment decisions, and supporting clients or stakeholders in a complex financial environment.

What are the typical challenges faced by professionals working in asset-backed finance roles?

Professionals in asset-backed finance often encounter challenges including complex deal structuring, thorough risk assessment of underlying assets, and staying updated with evolving regulatory requirements. The role requires strong analytical skills to evaluate asset pools and the ability to collaborate closely with legal, compliance, and risk management teams to ensure deal integrity. Additionally, managing tight deadlines and adapting to market fluctuations are common aspects of the job, making flexibility and attention to detail essential for success.
More about Asset Backed jobs
What cities are hiring for Asset Backed jobs? Cities with the most Asset Backed job openings:
Infographic showing various Asset Backed job openings in the United States as of June 2026, with employment types broken down into 87% Full Time, 5% Part Time, 2% Temporary, and 6% Contract. Highlights an 92% Physical, 4% Hybrid, and 4% Remote job distribution.
Manager, Global Credit Finance - Asset Backed Finance Valuations

Manager, Global Credit Finance - Asset Backed Finance Valuations

Carlyle

New York, NY โ€ข On-site

$135K - $155K/yr

Full-time

Medical, Life, Retirement, PTO

Posted 11 days ago


Key responsibilities

  • Manage the valuation process for Asset Backed Finance products, including deliverable tracking, presentation reviews, valuation model reviews, and completion of ad-hoc deliverables.

  • Coordinate with third-party pricing vendors to ensure comprehensive pricing coverage and address valuation challenges.

  • Prepare and maintain valuation analytics and reports at the fund and investment level, including P&L attribution and analysis of performance drivers.


Job description

Basic information
Job Name:
Manager, Global Credit Finance - Asset Backed Finance Valuations
Location:
New York/340
Line of Business:
Finance
Job Function:
Investor Services
Date:
Monday, March 30, 2026
Position Summary
We are seeking a highly motivated professional to join our Product Control function within the Fund Management team for Global Credit. This position will be responsible for managing the valuation of portfolio assets within Carlyle Global Credit's Asset Backed Finance business, comprised of 10+bn of AUM. Asset coverage includes Structured Finance Securities involving various ABS strategies (e.g. Student Loan Debt, Personal loans, Royalties, Credit Card Debt, etc.) and direct investment stakes. In addition, coverage includes Middle Market and Broadly Syndicated CLO Debt and Equity securities, Collateralized Bond Obligations ("CBO's"), and Collateralized Fund Obligations (CFO's). The individual will work with teams across the organization, including the Trading Desk, Asset Management team, Finance, and Technology in assisting in carrying out the valuation process for the assigned funds and managed accounts. This position offers a unique opportunity to shape and develop processes in a growing segment, requiring strong analytical skills, finance experience, and the ability to work independently in a fast-paced environment.
In-Office Requirement: 4 days per week
Responsibilities
  • Management of the valuation process for Asset Backed Finance products including deliverable tracking, presentation reviews, valuation model reviews, and completion of ad-hoc deliverables
  • Coordinate with third-party pricing vendors to ensure comprehensive pricing coverage, address valuation challenges, and manage ad-hoc pricing requests. Support adherence to the firm's valuation policy through timely resolution of pricing-related needs
  • Work with the Asset Management function and Trading Desk on the completion of valuation reviews in line with Carlyle's valuation policy as well as applicable accounting/industry guidance
  • Support the maintenance and enhancement of existing valuation models, and contribute to the development of new models and methodologies
  • Work closely with deal teams to solve complex valuation situations, escalating as required
  • Drive enhancements and improvements to the valuation and reporting processes, procedures, and expand the use of technology
  • Prepare and maintain valuation analytics and reports at the fund and investment level, including P&L attribution and analysis of performance drivers
  • Identification of relevant credit specific metrics to include in the reporting
  • Present valuation results to senior executives
  • Partner with finance and FP&A to assist with forecasting firm's economic net income and carried interest / incentive fees for budgeting purposes
  • Manage and assist in the annual audit as well as interim reviews with the auditors

Qualifications
Education & Certificates
  • Bachelor's degree, required
  • Concentration in Finance Economics, or Accounting, preferred
  • CFA or progress towards CFA is a plus

Professional Experience
  • Minimum of 5+ years of overall relevant professional experience, required
  • Experience in performing valuations of illiquid and complex securities, business valuations, and/or structuring, trading, or whole loan modelling, preferred
  • Advanced knowledge of valuation methodologies and financial models for ABS, CLO, CBO, CFO, and other structured finance securities
  • Strong experience with third party systems such as Intex and Bloomberg
  • Experience in building cashflows models in Excel from scratch for Securitized Products preferred
  • Knowledge of Python (including machine learning packages), Alteryx, Power BI is a plus

Competencies & Attributes
  • Ability to develop valuation approaches for various forms of securities and unique instruments including equity and debt securities, loans, and structured products
  • Maintain detailed records of all inputs used in the valuation process over time
  • Highly self-motivated with a proactive attitude and a strong eagerness to learn
  • Strong communication and interpersonal skills to work with a wide range of individuals and personalities
  • Strong organizational skills and detail oriented
  • Strong analytical and qualitative skills
  • Able to work independently and proactively manage responsibilities to completion, especially under tight deadlines
  • Committed to high standards of excellence and ethics, including the ability to maintain confidentiality of sensitive and proprietary information

Benefits/Compensation
The compensation range for this role is specific to New York City 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 $135,000 to $155,000.
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 The Carlyle Group.
Company Information
The Carlyle Group (NASDAQ: CG) is a global investment firm with $477 billion of assets under management, 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's purpose is to connect people, ideas, and capital to fuel growth for companies and performance for 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 deep expertise across industries, markets, and geographies.
At Carlyle, we believe that a wide spectrum of experiences and viewpoints drives performance and success. Our CEO, Harvey Schwartz, has stated that, "To build better businesses and create value for all of our stakeholders, we are focused on assembling leadership teams with the strongest insights from a range of perspectives." Reflecting this view, emphasis is placed on development, retention and inclusion through our internal processes and seven Employee Resource Groups (ERGs). We cultivate a culture where ideas are openly shared and challenged, connecting diverse expertise and perspectives to drive enduring value.