Chia Hock Lai, President, Singapore FINTECH Association honoured | Daily News

Chia Hock Lai, President, Singapore FINTECH Association honoured

Chia Hock Lai receive “Master Financial Planner” Certification from Rajkumar Kanagasingam, GAFM Representative in Sri Lanka and the Maldives and Facilitator of the Asia - Pacific Executives Forum, at Shangri-La Hotel, Colombo recently
Chia Hock Lai receive “Master Financial Planner” Certification from Rajkumar Kanagasingam, GAFM Representative in Sri Lanka and the Maldives and Facilitator of the Asia - Pacific Executives Forum, at Shangri-La Hotel, Colombo recently

President, Singapore FINTECH Association Chia Hock Lai who has close to two decades of experience in the financial industry, having performed roles in both business and technology, received “Master Financial Planner” Certification from Colorado, USA based Global Academy of Finance and Management (GAFM).

Chia Hock Lai supported recently held FINTECH MEETUP of the Asia - Pacific Executives Forum at Hilton Colombo in July, 2018. Singapore FINTECH Association will be the first association to sign an MoU with the FINTECH Association of Sri Lanka in the coming days.

Chia Hock Lai is passionate about how technology is disrupting the way financial services are being delivered to consumers and businesses, and in the process making the financial system more efficient and inclusive. He graduated from the National University of Singapore (Real Estate), Nanyang Technological University (Infocomm Technology) and Nanyang Polytechnic (Fund Management & Administration).

Besides being the founding president of the Singapore FinTech Association, he is also a Fellow of the Singapore University of Social Science, advisor to Startups and mentor to student FinTech projects.

GAFM Certification Standards Board is TUV Accredited and ISO 9001:2008 Certified for Quality and ISO 29990:2010 Certified for Educational Standards. MFP Certification is listed at the website of US Financial Industry Regulatory Authority (FINRA) which is a regulatory body charged with governing business between brokers, dealers and the investing public in the United States.


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