Mason Reeves

CEO

New York City, United States24 yrs 8 mos experience
Highly Stable

Key Highlights

  • Expert in financial risk management and capital planning.
  • Proven track record in driving product innovation in fintech.
  • Strong leadership in cross-functional team initiatives.
Stackforce AI infers this person is a Fintech expert with strong capabilities in risk management and product strategy.

Contact

Skills

Core Skills

Product InnovationFinancial StructuringStrategyFinancial Risk ManagementCapital Management

Other Skills

PaymentsCryptoBaaSTreasury ManagementEnterprise Risk ManagementLiquidity RiskFinancial RegulationStrategic PlanningBankingCapital MarketsFinanceFundingFinancial RiskSecuritiesData Analysis

About

Treasury and risk management professional with a deep understanding of financial services products, risk and capital, and a track record of delivering on strategic initiatives for leading fintech and financial firms. Strengths include distilling complex concepts into intuitive messages, leading cross-functional initiatives, building high-performing teams, and producing data-driven analytics to optimize business strategy.

Experience

24 yrs 8 mos
Total Experience
6 yrs 2 mos
Average Tenure
0 mo
Current Experience

Bridge

Treasurer and Reserve Operations Lead

Jun 2026Present · 0 mo · New York City Metropolitan Area · On-site

Stripe

5 roles

Product Strategy & Operations

Promoted

Jan 2025Jun 2026 · 1 yr 5 mos · New York City Metropolitan Area

  • Strategy role applying best practices in financial mechanics and financial structuring to drive innovation in Stripe's products including Money Movement & Storage, Banking as a Service, Crypto and Connect
Financial StructuringPaymentsCryptoProduct InnovationBaaS

Corporate Strategy

May 2024Feb 2025 · 9 mos · New York City Metropolitan Area

Strategy

Capital & Financial Risk Management Lead

Feb 2023May 2024 · 1 yr 3 mos · New York City Metropolitan Area

  • I lead Stripe's Capital & Financial Risk Management (CFRM) team, part of Stripe's Treasury-Finance team. CFRM is responsible for the identification, measurement, monitoring and control of financial risk (liquidity, market, counterparty and insurable risk), capital planning and promoting capital efficiency across Stripe’s products and growth initiatives.
Capital ManagementFinancial Risk ManagementStrategy

Treasury-Finance, Capital Management Lead

Promoted

Jul 2021Mar 2023 · 1 yr 8 mos · New York City Metropolitan Area

  • Building Stripe's capital management function to provide industry-leading capital planning, attribution, strategy and structuring capabilities that accelerate the growth of Stripe’s businesses and products.

Treasury-Finance, Financial Risk Management Specialist

Jun 2020Jul 2021 · 1 yr 1 mo · New York City Metropolitan Area

  • Provided actionable financial risk management analytics insights to support Stripe’s rapidly growing businesses including counterparty, liquidity and market risk, and stress testing to size risk capital needs.

Morgan stanley

Managing Director, Risk Management

Feb 2017Jun 2020 · 3 yrs 4 mos · Greater New York City Area

  • Led effort to design and launch an innovative quantitative stress testing framework covering all of MS’s businesses. Responsible for defining strategy, program management and ongoing operations to deliver analytics and insights to Board and senior management.
  • Coordinated cross-functional efforts on key strategic initiatives including enhancements to MS's resolution & recovery planning framework, current expected credit losses (CECL) and risk oversight of MS's US broker-dealer subsidiaries.

Bank of america merrill lynch

2 roles

Managing Director, Global Liquidity Management

Promoted

Jul 2010Jan 2017 · 6 yrs 6 mos · Greater New York City Area

  • Built and managed cross-functional teams to build out BAC’s liquidity risk management capabilities. Regularly advised senior management and business partners, and represented BAC with regulators, industry groups and clients on treasury-related matters.
  • Oversaw ~40% growth of team that provided liquidity risk oversight of BAC’s international operations (~$500B wholesale banking and capital markets businesses); managed relations with regional management teams, oversaw development of risk models, risk infrastructure and analytics and risk governance.

Assistant General Counsel

Jun 2006Jul 2010 · 4 yrs 1 mo · Greater New York City Area

  • Counsel to Treasury group on treasury and capital markets activities including common and preferred stock offerings, structured products and senior debt offerings
  • Counsel to Finance group on SEC disclosure obligations.

Sullivan & cromwell llp

Associate

Sep 2001Jun 2006 · 4 yrs 9 mos · Greater New York City Area

  • Advised global clients in multiple industries on innovative securities, M&A, corporate governance, and regulatory matters. Coordinated with wide range of internal and external stakeholders from initial discussions to closing to insure successful resolution of matters.

Education

Washington University in St. Louis School of Law

Doctor of Law - JD — Law

Florida State University

Bachelor of Science - BS

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