Kenny Low
Chief Information & Risk Officer
Kenny holds the dual roles of Chief Information Officer and Chief Legal Officer at IPPFA. Spanning almost three decades in the insurance and financial advisory industry, Kenny’s career has taken him from on-the-ground sales to top-tier corporate management.
Starting at Great Eastern Life in 1990, he eventually expanded his expertise in insurance sales and advisory to include the functions of compliance, policy development and IT & implementation through his time with various corporates, such as Promiseland Independent, SingCapital, HL Suntek Insurance Broker and Singlife.
In 2012, he joined IPFFA as the Head of Compliance, where his vast experience has helped the company to navigate complex regulations and simplify financial advisory procedures to drive growth. In his first three years with IPPFA, Kenny led the Compliance and Practice Standards team to enhance and build a more robust Compliance and Anti-Money Laundering and Counter Financing of Terrorism Framework for the company.
Kenny’s combined knowledge and experience in legal, compliance and sales has helped many corporate customers implement the right risk transfer management programmes. Highly conversant in the subject of Directors and Officers liability, he has spearheaded the revival and setup of numerous businesses and operations; and successfully handled cases of fraud and wrongful claims. A proponent of continuous personal development, Kenny completed a degree in Law from the University of London to further his understanding of the legalities in the financial industry. Having ventured into the world of technology startups in year 2015 with Singlife, he is also experienced in digital transformation.