Jeff Crossland
About Jeff Crossland
Jeff Crossland serves as the Compliance Manager for US Mutual Fund Compliance at Russell Investments, a position he has held since 2010. He has over 20 years of experience in various roles at Russell Investments, including Manager of Risk Management & Controls and Manager of Fund Administration.
Current Role at Russell Investments
Jeff Crossland currently serves as the Compliance Manager for US Mutual Fund Compliance at Russell Investments. In this role, he oversees compliance-related activities specific to mutual funds, ensuring adherence to regulatory standards and internal policies. His responsibilities include monitoring compliance processes and implementing necessary controls to mitigate risks associated with fund operations.
Previous Experience at Russell Investments
Prior to his current position, Jeff Crossland held multiple roles at Russell Investments. He worked as the Manager of Risk Management & Controls from 2004 to 2010, where he focused on identifying and managing risks within the organization. Additionally, he served as the Manager of Fund Administration from 1997 to 2003, where he was responsible for overseeing fund operations and administration.
Total Tenure at Russell Investments
Jeff Crossland has a total of 20 years of experience at Russell Investments. His tenure includes various managerial roles that have contributed to his expertise in compliance, risk management, and fund administration. This extensive experience has equipped him with a deep understanding of the mutual fund industry and its regulatory environment.
Professional Background
Jeff Crossland has built a career in compliance and risk management within the financial services sector. His roles at Russell Investments have provided him with a comprehensive understanding of compliance frameworks and risk control measures. This background supports his current responsibilities in ensuring that the US Mutual Fund Compliance team operates effectively within regulatory guidelines.