Phil Troyer serves as Resource Investment Advisors’ Chief Compliance Officer, bringing more than eight years of experience in the financial services industry and 21 years of experience as a licensed attorney to the firm. In his role, Phil is responsible for the firm’s overall compliance with federal and state investment laws.

Phil also acts as a Supervising Principal for Triad Advisors, LLC to oversee compliance with federal and state securities laws for Resources Investment Advisors. As an ERISA attorney, Phil helps respond to questions that arise regarding the application of the Act to RIA advisors and plan clients. He has written numerous articles on ERISA law for retirement plan industry trade publications.

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 owned by National Retirement Partners, Inc.