Russ Emery
About Russ Emery
Russ Emery is the Chief Compliance Officer at SEI Investments, with over two decades of experience in compliance and investment management.
Company
Russ Emery is currently working at SEI Investments as the Chief Compliance Officer. He has been with the company since January 2000. SEI Investments is known for its innovative investment processing, management, and operations solutions.
Title
Russ Emery holds the title of Chief Compliance Officer at SEI Investments, where he is responsible for upholding the company's compliance standards and conducting thorough due diligence on investment management organizations and their teams.
Education and Expertise
Russ Emery studied at the New York Institute of Technology, where he earned a BS in Accounting. He holds both the Chartered Financial Analyst (CFA) and Certified Public Accountant (CPA) designations, demonstrating a deep expertise in financial analysis and accounting.
Professional Background
Russ Emery built a strong foundation in corporate finance and treasury management in his early career. From 1989 to 1997, he worked at PepsiCo, Inc. as Manager in the Corporate Finance Group. He then moved to Sanofi-Aventis where he served as Senior Treasury Manager from 1997 to 2000.
Experience in Compliance and Investment Management
With over two decades of experience in compliance and investment management, Russ Emery has developed a robust understanding of the industry. At SEI Investments, he ensures compliance and performs meticulous due diligence on investment management organizations and their teams.