Jesse Eberle has a diverse work experience in the financial industry. Jesse is currently working at Matrix Applications LLC, where they serve as a key point of client contact, innovation, and product testing for fixed income platforms. Jesse also explores the digital assets arena for potential trading and lending opportunities. Prior to their current role, they founded Eberle Associates LLC, providing consulting work and business development services.
Before that, Jesse worked at Tradition Securities and Futures as a Project Lead, where they designed and managed a fully web-based electronic bond trading platform. Jesse also voice brokered US corporate HY bonds and managed a junior broker and the eCommerce team.
During their time at BGC Partners, Jesse held multiple roles including Account Manager and Team Lead, where they expanded the firm's electronic footprint in corporate bond and CDS auctions. Jesse also served as a Product Manager, focusing on post-trade strategy and implementation and ensuring efficiency and streamlining of middle office systems.
Jesse started their career at Royal Bank of Scotland as a Front Office Credit Sales and Sales Support, providing primary sales coverage and support to sales and trading desks. Jesse also worked at Goldman Sachs as a Middle Office Interest Rate Derivative Specialist, and at Merrill Lynch as a Back Office Credit and Muni Derivative Specialist, where they successfully reduced cash breaks and served as the calculation agent for credit events.
Overall, Jesse Eberle has gained extensive experience in product development, consulting, business development, project management, and various roles in the financial industry.
Jesse Eberle attended Floral Park Memorial H.S. from 1997 to 2003, where they obtained a Regents Diploma. Following high school, they attended Cornell University from 2003 to 2007, earning a Bachelor of Applied Science (B.A.Sc.) degree in Applied Economics & Management.
In terms of additional certifications, Jesse obtained the Series 63 certification from FINRA (Financial Industry Regulatory Authority) in January 2012 and the Series 7 certification from FINRA in September 2011.
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