
Jon Gelman
Mr. Gelman is the Chief Compliance Officer at Interactive Brokers LLC. He is responsible for overseeing the firm’s compliance with applicable regulations, providing advice on business and policy issues, and acting as liaison between the firm and its regulators. Prior to joining Interactive Mr. Gelman worked in compliance at Brown Brothers Harriman & Co and JP Morgan Securities, as well as working in FINRA Market Regulation. Mr. Gelman has degrees from Colgate University and Purdue Global Law School.