Analyst, Fund Administration

Reposted 3 Days Ago
Be an Early Applicant
Mumbai, Maharashtra, IND
In-Office
Junior
Software • Financial Services
The Role
This role ensures timely delivery of financial reports per US GAAP and AICPA, coordinates with teams, and supports audits and projects for fund administration.
Summary Generated by Built In
Reporting To:Associate Manager, Fund Administration

Shift:EMEA (1:30 pm - 10:30 pm IST) (India)About Russell Investments, Mumbai: 

Russell Investments is a leading outsourced financial partner and global investment solutions firm providing a wide range of investment capabilities to institutional investors, financial intermediaries, and individual investors around the world. Building on an 90-year legacy of continuous innovation to deliver exceptional value to clients, Russell Investments works every day to improve the financial security of its clients. The firm is “Top 12 Ranked Consultant (2009-2024)” in P&I survey 2024 with $962 billion in assets under advisement (as of December 31, 2025) and $376.9 billion in assets under management (as of December 31, 2025) for clients in 30 countries. Headquartered in Seattle, Washington in the United States, Russell Investments has offices around the world, including London, New York, Toronto, Sydney, Tokyo, Shanghai – and has opened a new office in Mumbai, India in June 2023.

Joining the Mumbai office is an incredible opportunity to work closely with global stakeholders to support the technology and infrastructure that drives the investment and trading processes of a globally recognized asset management firm. Be part of the team based out of Goregaon (East) and contribute to the foundation and culture of the firm’s growing operations in India. The Mumbai office operates with varying shifts to accommodate time zones around the world.

For more information, please visit https://www.russellinvestments.com.


Job Description:

This position is responsible for ensuring timely delivery of Financial Statements as per US GAAP, AICPA and SEC, knowledge of regulatory reports including N-Port and providing audit support.

Years of Experience

  • 1 to 2 years of work-ex

Qualifications

  • CA, CPA or similar preferred

  • Bachelor’s degree, only if the candidate has vast experience in Financial Reporting as per US GAAP

Responsibilities

  • Ensure preparation of Annual, Semi-Annual and Quarterly financial reports for ’40 Act funds (Russell Investment Company and Russell Investment Funds) is done in a timely manner with good quality

  • Annual reporting for institutional funds (Russell Trust Company and Russell Institutional Funds LLC) and

  • Oversee, coordinate and execute the planning, organizing, training and leadership necessary to achieve stated goals. Be a link between the staff and management.

  • This position involves working with other teams within and outside of Fund Administration to complete a range of routine, project-based and ad-hoc deliverables for Russell’s fund products.

  • Posting of periodic journal entries, partnership accounting/allocations and preparation of various disclosures for alternative investment funds.

  • Engage with the Funds’ custodians, internal groups, external auditors and other key stakeholders to coordinate reporting cycles.

  • Participate in projects which promote and lead to a streamlined financial operating environment.

  • Evaluate and document policies, procedures and internal controls related to various aspects of the financial reporting process.    

  • Work directly with external service and data providers, external auditors and multiple groups within Russell to support a wide range of financial projects in support of the funds.

  • Preparation and review of internal reports, sub-schedules and calculations which support the overall financial statement process for traditional funds.

Candidate Requirements

  • Good knowledge of US GAAP, the Investment Company Act of 1940, U.S. Internal Revenue Code, CFTC Rules, ERISA and UCITS a plus.

  • Understanding of Fund Accounting for mutual funds, commingled funds, LLC funds and private equity funds and working knowledge of the ERISA regulations, Investment Company Act of 1940, Exchange Acts of 1933 and 1934.

  • Ability to interpret accounting/financial information and understand how it may impact the Funds’ financial statements, notes to financial statements and other disclosures.

  • Extensive knowledge of investment products and securities, including complex derivative instruments such as swaps, futures, and options.

  • Working knowledge of the relationships and interactions between investment managers and administrators/custodians/transfer agents.

Preferred:

  • Knowledge and understanding of SQL and VBA.

  • Knowledge/Experience with Confluence ASP Reporting System.

  • Ability to create, refine and maintain policies and desk procedures related to the Funds’ processes. Experience with 38a-1 requirements and Sarbanes-Oxley testing.

Core Values

  • Excellent communication skills, both written and verbal. Ability to communicate effectively on behalf of Fund Administration Management with Vendors, Auditors, business units and other key stakeholders.

  • Proven ability to work both independently and as part of a highly functioning team, open to new ideas and disciplines.

  • Ability to work efficiently under pressure with minimal supervision to meet cyclical regulatory and internal deadlines; demonstrated ability to organize and prioritize multiple assignments.

  • Demonstrate an ability to analyze complex issues, research solutions, prioritize workload and bring regulatory testing issues to resolution.

  • Very strong tools-based knowledge including Excel, Access and other applicable applications in a LAN based environment.

  • Have a mindset of improving processes with data and workflow automation.

  • Ability to communicate complex technical details to all levels of management.

  • Must be proficient in MS Office and manage large volumes of email correspondence.

  • Ability to act with discretion and maintain complete confidentiality.

  • Dedicated to the firm’s values of non-negotiable integrity, valuing our people, exceeding client expectations, and embracing intellectual curiosity and rigor.

Visit us: https://russellinvestments.com/us/careers

Skills Required

  • 1 to 2 years of work experience
  • CA, CPA or similar
  • Bachelor's degree with significant experience in Financial Reporting

Russell Investments Compensation & Benefits Highlights

The following summarizes recurring compensation and benefits themes identified from responses generated by popular LLMs to common candidate questions about Russell Investments and has not been reviewed or approved by Russell Investments.

  • Leave & Time Off Breadth Time off starts at 20 days of vacation in year one (rising to 25 after four years) plus 10 paid holidays and nine sick days, which provides substantial leave coverage. Backup childcare and other leave supports add practical flexibility for life events.
  • Retirement Support A 401(k) company match up to 5% of eligible base salary, alongside access to select Russell Investments funds, offers a meaningful foundation for long‑term savings. This structure provides clear, predictable retirement support.
  • Wellbeing & Lifestyle Benefits Comprehensive medical coverage, employer HSA contributions, a Lifestyle Spending Account, and Modern Health access (10 counseling and 10 coaching sessions per year) strengthen overall wellbeing. These elements enhance total‑compensation value beyond base pay.

Russell Investments Insights

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The Company
HQ: Seattle, WA
1,951 Employees

What We Do

Russell Investments is a leading outsourced CIO (OCIO) partner and global investment solutions firm providing a wide range of investment capabilities to institutional investors, financial intermediaries, and individual investors around the world. Building on an 87-year legacy of continuous innovation to deliver exceptional value to clients, Russell Investments works every day to improve the financial security of its clients. The firm is the world’s sixth-largest investment adviser, with $1 trillion in assets under advisement (as of June 30, 2022) and $288.3 billion in assets under management (as of March 31, 2023) for clients in 32 countries. Headquartered in Seattle, Washington, Russell Investments has offices in 19 cities around the world, including London, New York, Toronto, Sydney, Tokyo, and Shanghai.

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