Job Title: Reconciliation Tester
Duration: Until 31st December 2025
Location: Central London (2 days remote, 3 days onsite)
Overview:
As a Reconciliation Tester, you will play a pivotal role in safeguarding the accuracy of financial and customer data. This hybrid position combines 70% Functional Manual QA and 30% Automation QA to ensure reconciliation systems meet the highest standards. You will work closely with analysts, developers, and architects to validate data integrity and streamline reconciliation processes.
Key Responsibilities:
- Testing & Validation: Conduct functional and automated tests on reconciliation systems, ensuring data accuracy against transaction records and source documents.
- Data Analysis: Utilise SQL and Excel to validate and analyse financial datasets for discrepancies.
- Automation Integration: Implement and maintain test scripts using tools such as Selenium and scripting languages like Bash, Java, Python, or PowerShell.
- Documentation & Compliance: Maintain detailed testing logs, and ensure adherence to financial and regulatory standards.
- Process Optimisation: Collaborate with cross-functional teams to identify and implement improvements in reconciliation workflows.
Essential Skills:
- Domain Expertise: Financial or Banking domain experience with demonstrated ETL/reconciliation QA skills.
- Technical Proficiency:
- Expertise in SQL and Excel.
- Scripting experience (Bash, Java, Python, PowerShell).
- Familiarity with PowerCenter is advantageous.
- Testing Tools: Hands-on experience with Selenium and other testing methodologies.
- Communication: Strong collaboration and English proficiency (C1).