Chief Compliance Officer
Phil joined Resources Investment Advisors ("RIA") as VP of Compliance in December of 2013. Before joining RIA, Phil managed a national ERISA law practice and previously served as General Counsel for NRP Financial and NRP Advisors, a broker-dealer and investment advisory firm that were owned by National Retirement Partners, Inc. Phil obtained his J.D. from Indiana University in 1994 and currently holds FINRA Series 7, 24, and 63 licenses registrations held with Triad Advisors. He has written numerous articles on ERISA law for retirement plan industry trade publications and is a member of ASPPA.