Chief Risk Officer
- Jon is responsible for risk management at SI Capital in all market trading aspects.
- Formerly the Director and Head of Market Risk for ABN Amro clearing Chicago LLC.
- Jon led a team of risk managers and was responsible for monitoring ABN client risk across all US markets and US asset classes.
- Chief Risk Officer of Ronin Capital LLC and its affiliated entities. Jon held this position starting in 2008 and was also a member of Ronin’s Board of managers.
- Head of West Coast trading operations for Stafford Trading starting in 1999.
- Jon has been a floor trading seat owning member of CBOE, CME, and CBOT since 1987. Formerly a seat owning member of the NYSE, and COMEX. He has the Series 3, 7,24, and 57 licenses.
- Jon graduated Emory University in 1986 with a BA in economics.