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Russell Investments

Analyst, Fund Compliance & Valuation

Russell Investments, Seattle, Washington, United States, 98101

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Analyst

Every day, we strive to improve financial security for people around the world. Joining our U.S. Fund Administration team means becoming part of a collaborative, mission-driven group that values purpose and precision. As an Analyst, you will play a hybrid role across fund compliance and fund valuation, supporting the oversight of U.S.-based funds. Your work will help ensure regulatory compliance (SEC, IRS, ERISA, CFTC, and Washington State Banking regulations) and accurate valuation across a range of fund structures, including 1940 Act mutual funds, ETFs, collective investment trusts, and LLC partnerships. This position is open to candidates with varying levels of experience. Senior-level responsibilities may be adjusted based on background and demonstrated capability. Fund Compliance

Administer and monitor compliance testing programs and ensure timely, accurate reporting to CCOs and regulatory bodies. Support the preparation and submission of regulatory filings (e.g., Form 13F, TIC-S, Form PF, CPO-PQR). Research new regulations, assess impacts, and support implementation and testing. Ensure compliance systems and testing processes function with data integrity. Evaluate internal controls, policies, and procedures for accuracy and alignment with regulatory standards. Analyze complex compliance issues and escalate or resolve as needed. Fund Valuation

Oversee daily pricing and valuation of fund holdings; participate in pricing and fair valuation decisions. Contribute to valuation oversight meetings and prepare minutes for regulatory documentation. Liaise regularly with custodians, fund managers, and pricing vendors. Support year-end financial and regulatory reporting cycles. Understand and apply valuation practices to complex instruments (e.g., swaps, futures, options). Review and improve valuation policies and procedures to ensure operational consistency. Your Expertise: Bachelor's degree in accounting, finance, business, or related field required; CPA or advanced degree preferred. Up to 2 years of relevant experience in the investment or fund administration industry. Familiarity with SEC regulations, the Investment Company Act of 1940, and securities operations. Strong analytical, organizational, and time-management skills. Ability to prioritize tasks and deliver results under tight deadlines with minimal supervision. Excellent communication and interpersonal skills; capable of representing the team with internal and external stakeholders. Advanced Excel skills; proficiency in other financial systems or automation tools is a plus. Willingness to work extended hours as needed during critical reporting periods. A team-first mindset and openness to learning and continuous improvement. This role is not eligible for employment-based immigration sponsorship. Applicants must be legally authorized to work in the United States without employer sponsorship, now or in the future. Russell Investments is committed to providing equal employment opportunities for all associates and employment applicants regardless of race, religion, ancestry, creed, color, gender, age, national origin, citizenship status, disability, medical condition, military status, veteran status, marital status, sexual orientation, past or present unemployment status, or any other characteristic protected by law.