Ron Steinfeld
Chief Compliance Officer
Ron Steinfeld is the Chief Compliance Officer of Phoenix Partners Group LP. He is responsible for overseeing the firm’s compliance function and also holds the title of Corporate Counsel. He manages the firm’s compliance affairs globally, including responsibility for FINRA, NFA, FSA and Swap Execution Facility related issues and establishing policies for regulatory developments.
Mr. Steinfeld joined Phoenix Partners from Nixon Peabody LLP, where he worked as a member of their private equity group. While at Nixon, his practice focused on representing private equity sponsors and their portfolio companies with respect to leveraged buyouts, add-on acquisitions, co-investments and mergers and acquisitions as well as general corporate work including corporate governance. Prior to joining Nixon, he was with Troutman Sanders LLP in their Securities, Corporate Governance and Mergers and Acquisitions practice groups.
Mr. Steinfeld earned his B.S. in Economics from the University of Delaware and his J.D. from New York University School of Law. He is admitted to practice in New York and is a member of the Association of Corporate Counsel. He is a General Securities Principal and Research Principal and holds FINRA Series 3, 7, 24, 63, 79 and 87 licenses.