Mitchell-Kenny

 

KENNY MITCHELL

Assistant Vice President, Financial Advisor

Commerce Financial Advisors

 

Kenny joined Commerce Financial Advisors in 2024 to help clients define their financial goals, develop a strategy to work toward those goals, and measure their progress along the way. He has 12 years’ experience helping clients take a holistic approach to their financial life.

Kenny assists clients with investment management, retirement planning, and insurance strategies. He attended Purdue University.  He has his Securities Licenses Series 7, 6, 63 and 66 held with LPL Financial, as well as her License for Life, Health, and Variable Contracts.  Kenny obtained his Chartered Financial Consultant (ChFC®) designation in 2019, his Retirement Income Certified Professional (RICP®) in 2015 and his Chartered Life Underwriter (CLU®) in 2014.

401 S. Main St., Peoria IL
(309) 999-3285
Kenny.Mitchell@CommerceBank.com

 

 

 

The location listed above is the registered office for the Financial Advisor. Please call or email to set up an appointment at the banking center you selected.

FINRA (Financial Industry Regulatory Authority) oversees the people and firms that sell stocks, bonds, mutual funds and other securities. Use FINRA's BrokerCheck to find employment history, certifications, and licenses — as well as regulatory actions, violations or complaints — for any financial advisor. You can also obtain information about Commerce Brokerage Services, Inc. on the site.