Kenny Low

Chief Information And Risk Officer at IPP Financial Advisers

Kenny Low has extensive work experience in the financial industry, with a focus on operations, compliance, and special projects. Kenny is currently the Director of Operations, Compliance & Special Projects at IPP Financial Advisers since December 2018. Prior to that, they held various leadership roles at Singapore Life, including Head of Financial Advisory & Alternative Channels and Head of Legal and Compliance. Kenny also served as the Head of Compliance at IPP Financial Advisers Pte Ltd from 2012 to 2015 and worked as an Insurance Manager at HL Suntek Pte Ltd from 2011 to 2012. Earlier in their career, they held the position of GM & Head Compliance at both SingCapital Pte Ltd from 2007 to 2010 and Promiseland Independent Pte Ltd from 1997 to 2006.

Kenny Low's education history is as follows:

In 1974, Kenny attended ACS for their primary and secondary education, although no degree or field of study is specified.

From 1983 to 1986, they pursued a Diploma in Building Management at Singapore Polytechnic.

In 2010, Kenny enrolled at the University of London, where they completed their Bachelor of Laws (LLB) degree in Law in 2014.

During the same period, in 2013, they also obtained a Graduate Diploma in Compliance from the International Compliance Training Academy, with a specialization in Wealth Management.

In 2014, Kenny acquired a Professional Qualification in Compliance - Wealth Management from The Institute of Banking and Finance Singapore.

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