From November 2020 until December of 2021 Jon was a 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.
Prior to joining ABN, Jon was 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.
Prior to his Chief Risk officer appointment, he was head of west coast trading operations for Ronin’s predecessor Stafford Trading starting in 1999.
Jon has been a floor trading seat owning member of CBOE, CME, and CBOT since 1987. He was also 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.