Gammon has outsourced the below C-Suite functions to OCA Consulting. The OCA team was formed at Saiers Capital, a $1B+ volatility hedge fund and the team represents a strong addition to our core competencies.
Jon is the Chief Operating Officer (COO) for Gammon Capital. He has been the COO of multiple hedge funds, most recently with Saiers Capital. At Saiers Capital, Jon was instrumental in building out all operational processes to support trading for the firm. He worked with the technology team, internal accounting team and trading counterparties to establish processes to allow for the seamless execution and clearing of trades, and to minimize operational risk. Prior to Saiers, Jon was the COO at QRT Management, a statistical arbitrage hedge fund where he managed all non-investment aspects of the business. He began his career as an equity derivatives trader on the American Stock Exchange. Jon holds a Bachelor of Arts from Swarthmore College.
Ken is the Chief Financial Officer (CFO) of Gammon Capital. He has been the CFO of multiple hedge funds, most recently with Saiers Capital, where Ken instituted process to manage large-scale transactional flows for a global multi-asset class hedge fund. Before Saiers Capital, Ken served as the Director of the New York Fund Accounting and Client Service Groups at GlobeOp Financial Services, with numerous global teams reporting to him. Immediately prior to GlobeOp, Ken was the Chief Financial Officer of The Atlantic Advisors, a hedge fund acquired by HSBC Asset Management in 2005. He began his career as a flight officer in the United States Navy before entering the financial services industry. Ken holds a Bachelor of Science degree from Lehigh University and a Masters of Business Administration from the Stern School of Business at New York University.
Bob is the Compliance Officer for Gammon Capital. Bob has worked with numerous private funds in creating and enforcing compliance policies and procedures designed to meet the demands of regulators and allocators. He has extensive experience in dealing with complex compliance obligations imposed by agencies overseeing a wide array of products in numerous countries. Most recently, Bob served as the Chief Compliance Officer for Saiers Capital, a registered investment adviser. Prior to joining Saiers, Bob was Director of Risk Management for a multi-family office and was responsible for operational due diligence and the selection of private funds for the firm’s clients. He began his career in finance as the managing member of an American Stock Exchange member firm. Bob graduated with an A.B. from the University of Michigan.