Ryan P. Sadorf is a Financial Operations Principal and General Securities Principal in the securities industry. As CFO of several portfolio companies, Sadorf has been responsible for fiscal management of an institutional fixed income broker dealer, master-feeder fund investment advisor, and bank advisory business; including middle and back office financial operations: accounting, regulatory and financial audits, information technology, tax, compliance, settlement and trading operations. In addition, Sadorf has served as principal, chief operating officer, and chief compliance officer for an international SEC-registered investment advisor, which grew from $100 million to $700 million in net assets under management during his tenure. Sadorf managed day-to-day operations, business integration, and strategic in initiatives during the company’s rapid expansion. Earlier in his career, Sadorf worked as a financial advisor and systems architect for the largest broker dealer in the Southeast, integrating and automating mutual fund accounting, portfolio management, compliance, transfer agent, and marketing departments.
Sadorf has degrees in finance, insurance, and risk management from the University of Florida. He has completed FINRA Series 7, 24, 27, and 65 exams.