Management

Our Team: Management

Richard Huebner

Richard Huebner
Senior Managing Partner
Commitment Committee Member

Dick joined GVC in October of 2001 in a management capacity to plan and facilitate its growth. He now serves as Co-Head of Investment Banking and a Commitment Committee Member. He has been in the securities industry for nearly 30 years. His experience includes General Counsel for Hanifen, Imhoff, Inc. from January 1984 through September 1995. While at the firm, he served in numerous positions including E.V.P., Director, and member of the Executive Committee of Hanifen, Imhoff Holdings, Inc. In 1995, Dick became an E.V.P., Director and member of the Executive Committee of Hanifen, Imhoff Clearing Corporation, which was sold to Fiserv, Inc., in December 1997. He continued in those capacities for Fiserv Correspondent Services. Dick received a BA in Economics and Business Administration from Hastings College and a J.D. from the University of Nebraska.

Kent Lund
Interim CEO and CCO
Commitment Committee Member

Kent is GVC’s interim CEO, Co-Head of Investment Banking (with Dick Huebner) and Co-CCO (with Andrea Kidd).  Since late 1998, Kent has worked principally in the securities and financial services business, serving in a variety of business, compliance and legal roles.   For example, he has served as a Director, executive officer, CCO and/or General Counsel of: a NYSE member securities clearing firm; a full service B/D, and its two affiliated RIAs and trust company; a municipal securities-focused B/D, and its affiliated investment banking firm and RIA; a retail-focused independent contractor-model B/D; and an investment banking firm focused principally on M&A.  Kent holds currently or has held previously nine securities licenses: Series 7, 9, 10, 14, 24, 53, 63, 66 and 79.  Prior to entering the securities business, Kent clerked for two federal court of appeals judges, worked as an associate attorney in a large private law firm (litigation and employment departments), and worked as an in-house corporate attorney for a large multinational corporation (including completing two expatriate assignments).  He holds J.D., M.B.A. and LL.M. (in Entrepreneurial Law) degrees. Kent currently serves as a member of FINRA’s West Region Committee and as an independent director (and member of the Audit Committee) of a large private, P/E-controlled wireless internet services provider.


http://brokercheck.finra.org/

Leave a Reply