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Sustainability Vice President, Global Credit

Job in City of Westminster, Central London, Greater London, England, UK
Listing for: Carlyle Group
Seasonal/Temporary position
Listed on 2026-03-11
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Corporate Finance
  • Business
    Risk Manager/Analyst
Salary/Wage Range or Industry Benchmark: 125000 - 150000 GBP Yearly GBP 125000.00 150000.00 YEAR
Job Description & How to Apply Below
Location: City of Westminster

Carlyle is seeking a Vice President, Sustainability to support its Global Credit platform on a 12-month fixed‑term contract (maternity cover). Embedded within the firm‑wide Sustainability team and dedicated to Global Credit, this individual will play a critical role in executing and advancing ESG integration across multiple credit strategies. The role requires strong ownership, coordination, and delivery across investment teams, portfolio companies, investor relations, legal, and compliance stakeholders.

This is a hands‑on position combining investment support, ESG‑linked financing execution, portfolio data oversight, regulatory coordination, and LP engagement. The successful candidate will ensure continuity and high standards across established ESG processes while supporting ongoing enhancements to tools, reporting, and strategy.

Responsibilities ESG Integration & Investment Support
  • Lead and coordinate ESG integration across Global Credit investment teams
  • Partner with deal teams to incorporate ESG considerations into due diligence, underwriting materials, and investment committee documentation
  • Provide input on material ESG risks, mitigation strategies, and engagement priorities
  • Support borrower engagement on material sustainability topics, as appropriate
  • Collaborate with deal teams and legal counsel to structure and administer ESG‑linked financings, including KPI frameworks and tracking mechanisms
Portfolio Monitoring, Data & Reporting
  • Oversee collection, validation, and analysis of ESG data across credit portfolios and funds
  • Manage ESG data tools and reporting platforms to ensure consistency, accuracy, and scalability
  • Coordinate annual sustainability data collection cycles and portfolio engagement tracking
  • Support carbon emissions measurement initiatives and related disclosures
  • Contribute to LP reporting, DDQs, RFPs, and ongoing investor engagement on ESG topics
Regulatory & Governance
  • Support implementation of ESG‑related regulatory requirements (including EU SFDR and other relevant disclosure frameworks)
  • Monitor evolving ESG standards and market developments relevant to credit markets
  • Coordinate with Compliance and Legal teams to ensure alignment with regulatory expectations
Collaboration & Stakeholder Management
  • Serve as a key liaison between investment teams, Sustainability, Legal, Compliance, and Investor Relations
  • Drive consistency of ESG approach across strategies while adapting to strategy‑specific requirements
  • Represent the Global Credit platform in internal and external ESG discussions where appropriate
Qualifications
  • Degree required
  • 5-10 years of relevant experience in credit investing, sustainability/ESG, or a related field within asset management, private markets, or advisory
  • Strong understanding of credit markets and transaction processes
  • Demonstrated experience embedding ESG into investment workflows or portfolio monitoring processes
  • Experience with ESG‑linked financings, sustainability reporting, or regulatory frameworks (e.g., SFDR, TCFD, PCAF) preferred
Skills
  • Highly organized with strong execution and follow‑through capabilities
  • Excellent project management skills and ability to manage multiple concurrent work streams
  • Strong analytical skills and comfort working with portfolio‑level ESG data
  • Exceptional written and verbal communication skills
  • Advanced proficiency in Microsoft Office (Excel, PowerPoint, Word); enthusiasm and experience in adopting AI tools into workflows
  • Strong ownership mentality and ability to operate independently in a fast‑paced environment
  • Commercial mindset with the ability to translate ESG considerations into investment‑relevant insights
  • Detail‑oriented with high standards of accuracy and quality
  • Collaborative, diplomatic, and able to engage effectively with stakeholders at all levels
About Carlyle

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…

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