Professional Qualification (Compliance - Wealth Management)
2014 - 2014
University of London
Bachelor of Laws (LLB) (Law)
2010 - 2014
International Compliance Training Academy
ICA Graduate Diploma in Compliance (Wealth Management)
2013 - 2013
Singapore Polytechnic
Diploma (Building Management)
1983 - 1986
ACS
1974 - 1983
Kenny Low's Skills
Insurance
Risk Management
Wealth Management
Estate Planning
Investment Advisory
Mutual Funds
Retirement Planning
Asset Management
Pensions
Strategic Financial Planning
Kenny Low's Summary
Kenny Low, based in Singapore, is currently a Director Operations, Compliance and Special Projects at IPP Financial Advisers, bringing experience from previous roles at Singapore Life, IPP Financial Advisers Pte Ltd and HL Suntek Pte Ltd. Kenny Low holds a 2014 - 2014 Professional Qualification in Compliance - Wealth Management @ The Institute of Banking and Finance Singapore. With a robust skill set that includes Insurance, Risk Management, Wealth Management, Estate Planning, Investment Advisory and more, Kenny Low contributes valuable insights to the industry. Kenny Low has 2 emails on RocketReach.