2026 Summer Analyst Program
KKRAbout the role
COMPANY OVERVIEW
KKR & Co. Inc., together with its subsidiaries, is a leading global investment firm that offers alternative asset management and capital markets and insurance solutions. KKR aims to generate attractive investment returns by following a patient and disciplined investment approach, employing world-class people, and supporting growth in its portfolio companies and communities. KKR sponsors investment funds that invest in private equity, credit and real assets and has strategic partners that manage hedge funds. KKR’s insurance subsidiaries offer retirement, life and reinsurance products under the management of The Global Atlantic Financial Group.
KKR's 2026 Summer Analyst Program is an opportunity for you to join a leading global investment firm, during your undergraduate career.
We are recruiting for Summer Analysts for KKR in our New York, Menlo Park, and San Francisco offices across our Capital Markets, Global Client Solutions, Global Macro Balance Sheet & Risk, Infrastructure, Leveraged Credit, Private Credit, Private Equity, and Real Estate businesses. While the role will differ slightly across teams, Summer Analysts will be involved in helping identify attractive investment themes and opportunities, synthesizing industry and market data and analyzing potential investments. Following the conclusion of the internship, 2027 full-time offers may be extended to exceptional performers.
Business Descriptions
Capital Markets
KKR Capital Markets (KCM) supports our firm, portfolio companies, and third-party clients by providing tailored capital markets advice and developing and implementing capital solutions for investments and companies seeking financing. The Equity and Debt Capital Markets teams, respectively, within KCM assist our portfolio companies and third-party clients with financing and capital structure improvement. Summer Analysts will have the chance to work with our team to become integral members of the deal process while learning valuable analytical and financial structuring skills across a variety of KKR investments. The Co-Investments & Partnerships Team within KCM works directly with KKR’s investing teams across the firm’s geographies and strategies to raise capital, structure, and execute transactions for the firm. Summer Analysts will work alongside the broader team to cultivate deep relationships with LPs and other investors to help guide their investment teams through co-investment opportunities.
Global Client Solutions
KKR’s Global Client Solutions (“KCS”) consists of ~270 experienced professionals globally dedicated to understanding investor objectives, delivering thought leadership, and offering investment solutions customized to meet the needs of our clients.
KCS includes three underlying sub-teams:
- Institutional Client Solutions: responsible for direct outreach to institutional clients and prospects
- Global Wealth Solutions: responsible for direct outreach to wealth platforms, advisors, clients, and prospects
- Global Product Strategy: responsible for managing the various products and offerings across KKR’s platform
Global Macro Balance Sheet and Risk
The Global Macro Balance Sheet and Risk "GBR" team integrates multiple businesses under one umbrella - Global Macro Asset and Allocation, Balance Sheet, Portfolio Construction and Analytics, Strategic Partnerships, Global Wealth Investment Strategy, and Derivatives and Liability Management. The ideal candidate works well in a team-driven environment, is highly motivated, intelligent, has sound judgment and has a demonstrated excellence in prior endeavors. They have excellent communication (verbal and written), interpersonal and organizational skills. They are highly analytical and detail oriented, with problem solving capability, have a desire to work in a team environment with dynamic roles and an ability to work independently. They are intellectually curious and have a high level of accountability.
Derivatives & Liability Management
The Derivatives & Liability Management team is responsible for the negotiation, structuring, execution, and management of all risk management derivatives hedging and financing solutions. The Derivatives team covers FX, interest rates, and equity derivatives, while the Liability Management team focuses on subscription line and NAV financing as well as other bespoke solutions. The team works across the full spectrum of KKR funds, strategies, geographies, and asset classes. Summe
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