Laura Scott

Laura Scott

Board And Regulatory Reporting Manager @ Russell Investments

About Laura Scott

Laura Scott serves as the Board and Regulatory Reporting Manager at Russell Investments, where she has worked for over a decade. She has a strong background in compliance and regulatory matters, having transitioned from various paralegal roles within the company.

Current Role at Russell Investments

Laura Scott serves as the Board and Regulatory Reporting Manager at Russell Investments. She has held this position since 2012, accumulating over a decade of experience in board and regulatory reporting. Her role involves overseeing compliance and regulatory matters, ensuring that the organization adheres to relevant laws and regulations.

Career Progression at Russell Investments

Laura Scott's career at Russell Investments reflects significant growth and development. She began her tenure in 2002 as a Compliance Specialist, a role she held for three years. She then transitioned to a Paralegal position from 2005 to 2009, followed by a Senior Paralegal role from 2009 to 2011. Her advancement to Board and Regulatory Reporting Manager in 2012 demonstrates her expertise and commitment to the organization.

Previous Experience in Compliance and Regulatory Matters

Before her current role, Laura Scott worked as a Corporate Paralegal at Rainier Investment Management from 2011 to 2012. In this capacity, she focused on mutual funds, enhancing her knowledge and experience in compliance and regulatory issues. Her extensive background in these areas has been instrumental in her current managerial role at Russell Investments.

Educational Background

Laura Scott studied at Bethel Senior High School from 1995 to 1997. She later pursued Paralegal Studies at Fresh Start, where she achieved an Associate's degree from 1997 to 2000. This educational foundation has supported her career in legal and compliance roles within the financial services industry.

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