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Richard Gee
To continue to help an organization grow and prosper in a controlled sustainable fashion.
Professional Background
Richard Gee is a highly accomplished finance professional with extensive expertise in risk management and trading within the equities market. With a distinguished career spanning over two decades, he has developed a reputation for his adept understanding of market dynamics and risk assessment frameworks. Richard currently serves as the Equities Chief Risk Officer at Jefferies, where he plays a pivotal role in overseeing the firm’s risk management strategies for its equity trading operations. Under his leadership, Jefferies has further solidified its position as a leading global investment bank, effectively navigating the complexities of market risks and regulatory requirements.
Prior to joining Jefferies, Richard held several senior roles in distinguished financial institutions. As the Managing Director and Global Markets Head of Equities Risk Management at Credit Suisse, he was instrumental in shaping the risk management protocols that enhanced the bank's operational resilience and market performance. His strategic mindset and analytical skills allowed him to lead efforts in the identification and mitigation of risks associated with equity market activities.
Earlier in his career, Richard's tenure at Barcap (Barclays Capital) was marked by his roles as the Head of Americas Market Risk and Global Head of Equities Market Risk. Here, he successfully directed risk management practices for a dynamic trading environment, ensuring compliance with market regulations and protecting the firm’s interests. Additionally, he managed global teams that focused on algorithmic and electronic risk, adapting to emerging technologies that shaped modern trading strategies.
At JP Morgan, Richard served as the Global Head of Delta 1, where he contributed to the growth and management of delta hedging products, impacting pricing strategies and client services on a global scale. His sharp insights into market behaviors helped guide the firm through the intricacies of the derivatives landscape.
Richard's career began with an influential role as the Head of Equity and Derivatives Trading at Bear Stearns. This foundational experience equipped him with a profound understanding of trading operations and the complexities involved in managing large portfolios. He also honed his skills as the Head of Trading NWFP at Nat West, gaining valuable insights into the risk considerations associated with trading fixed income products
Education and Achievements
Richard Gee's academic background reflects a strong foundation in finance and risk management. He has pursued advanced studies that complement his professional experiences, allowing him to approach risk from a well-rounded perspective. As he progressed through various executive roles, Richard remained committed to continuous learning and innovation in the financial sector.
Throughout his career, Richard has received numerous accolades for his contributions. His leadership style emphasizes collaboration and strategic foresight, fostering an environment where teams can thrive and contribute to organizational success. He has also been actively involved in mentoring emerging professionals in finance, sharing his knowledge and expertise in risk management and market strategy.
Achievements
- Equities Chief Risk Officer at Jefferies, enhancing risk management strategies in equity trading.
- Managing Director Global Markets Head of Equities Risk Management at Credit Suisse, shaping critical risk management protocols.
- Leadership roles at Barcap, notably in Global Head of Equities Market Risk, guiding risk management practices on a global scale.
- Global Head of Delta 1 at JP Morgan, contributing to significant growth in derivatives trading.
- Key role in trading operations at Bear Stearns, establishing foundational expertise in equity and derivatives trading.