Gary Keegan

Systematic Equities & Derivatives Business Controls Manager at Citadel Securities

Gary Keegan has a diverse work experience spanning multiple financial institutions. Gary currently holds the role of Systematic Equities & Derivatives Business Controls Manager at Citadel Securities, starting in August 2021. Prior to that, they worked at Morgan Stanley for a total of 10 years, where they held various positions including Vice President, Electronic Trading Risk Management from February 2017 to July 2021, Electronic Trading Risk Manager from April 2014 to February 2017, and Director, Tax Risk & Advisory from August 2011 to April 2014. Before joining Morgan Stanley, Gary worked as an Associate in Tax Operations at Goldman Sachs from May 2010 to August 2011. Gary started their career at Macquarie Group, where they held the position of Associate from November 2007 to May 2010.

Gary Keegan attended University College Dublin from 2000 to 2004, but the specific degree and field of study are not provided. In 2004, they also attended the UCD Michael Smurfit Graduate Business School, although the degree and field of study are unknown. Additionally, Gary obtained the Irish Registered Representatives Programme certification in January 2006 from University College Dublin, and the Level III Securities & Regulation certification in June 2021 from The Chartered Institute for Securities & Investment (The CISI).

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