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Manager, Global Credit Finance

Job in New York, New York County, New York, 10261, USA
Listing for: The Carlyle Group
Full Time position
Listed on 2025-12-21
Job specializations:
  • Finance & Banking
    Financial Analyst, Financial Manager
Job Description & How to Apply Below
Location: New York

Join to apply for the Manager, Global Credit Finance role at The Carlyle Group
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Company Profile

The Carlyle Group (NASDAQ: CG) is a global investment firm with $474 billion of assets under management and more than half of the AUM managed by women, across 660 investment vehicles as of September 30, 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 2,400 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 its 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 Alp Invest – 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.

Position

Summary

The Manager, Global Credit Finance will oversee fund-level accounting, reporting, and operations across one or more strategies within Carlyle's Global Credit platform. The role serves as a key liaison between investment teams, third‑party administrators (TPAs), internal stakeholders, and external partners. Responsibilities include leading fund close processes, coordinating audits, reviewing capital activity, and supporting transaction execution while ensuring financial accuracy and regulatory compliance.

The Manager requires strong accounting expertise, attention to detail, and the ability to manage and mentor junior staff.

In‑Office Requirements

Provide 4 days per week in‑office.

Primary Responsibilities Accounting, Reporting & Fund Oversight
  • Review quarterly fund closes, NAVs, capital statements, and financial reports prepared by TPAs
  • Oversee capital activity, including calls, distributions, allocations, and waterfall calculations
  • Validate management fee, incentive/carry, and other fund‑level calculations
  • Coordinate interim and annual financial statement audits and related SOX/internal controls documentation
  • Review tax documentation including K‑1s, tax returns, and book‑to‑tax differences
Finance & Operations Support
  • Partner with investment and operations teams to execute and monitor investment transactions
  • Track and manage fund‑level cash needs, credit facilities, and liquidity across entities
  • Review expense budgets, invoice coding, and management company reporting
  • Analyze fund performance metrics and prepare reports for internal and investor use
  • Support entity structuring and legal/tax setup for new deals or funds
Investor & Front Office Engagement
  • Coordinate responses to ad hoc investor requests, performance inquiries, and diligence questionnaires
  • Contribute to the preparation of quarterly investor reports, update letters, and board materials
  • Support fundraising and onboarding of new LPs, including side letter and fund closing processes
Valuation & Strategic Analysis
  • Participate in the preparation and review of valuation materials, including coordination with valuation committees or external valuation providers
  • Assist with Economic Net Income (ENI) modeling and internal performance tracking
  • Collaborate with product control, tax, and legal teams to ensure alignment across fund structures and reporting
Team & Process Leadership
  • Supervise and mentor junior team members and consultants supporting recurring deliverables
  • Identify and implement process enhancements and system improvements to drive operational efficiency Requirements Education & Certificates
    • Concentration in Accounting or Finance, preferred
    • CPA and/or CFA preferred
    Professional Experience
    • 5‑7 years of relevant experience in fund accounting, public accounting, or private credit/alternatives
    • Knowledge of U.S. GAAP, fund structures (closed‑end funds, SMAs, carry vehicles), and credit…
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