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. He 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).