Marc Lasry
Sonia Gardner
U.S. Strategy
Jane Castle
Shawn Foley
Matthew Kimble
Randal Klein
Europe Strategy
Richard Furst
Jonathan Ford
Asia Strategy
Anil Gorthy
Real Estate Strategy
Ed Gellert
Robert Gellert
Private Equity Strategy
Stephen Trevor
Performing Loans Strategy
William Maier
Patric Lager
Public Fund Strategy
Jeff Gary
Accounting,Risk AND IT/Systems
Thomas Larkin
Richard Cocozza
Nish Kolonne
Legal and Compliance
Todd Greenbarg
Eric Ross
Business Development
Cherie Alcoff
Julie Baumann
John Larkin
Randy Takian
Alexander Wolfman


Eric Ross, Chief Compliance Officer

Mr. Ross is responsible for overseeing compliance across the firm’s strategies. Prior to joining Avenue in 2006, Mr. Ross was a Senior Associate at Cobb & Eisenberg LLC, Avenue’s former regulatory counsel, where he represented hedge funds, private equity funds, fund of funds, offshore funds, investment advisers and broker-dealers and focused on compliance, fund formation and investment adviser regulations. Prior to that, Mr. Ross was a Senior Associate at Olshan Grundman Frome Rosenzweig & Wolosky LLP, where he focused on general corporate matters. Earlier in his career, Mr. Ross was also an Associate General Counsel with Josephthal & Company, Inc., a NYSE and FINRA (formerly NASD) member firm.

Mr. Ross received a B.S. in Finance from Syracuse University (1991) and a J.D. from New York Law School (1995).