Test Lead Velocity- Finance

ScotiabankToronto, ON
Onsite

About The Position

At Tangerine, we’re redefining banking. As Canada’s leading digital bank, we thrive on innovation, agility, and bold thinking, tackling every challenge head-on with leading technology and the unstoppable power of collaboration. Our client-obsessed teams deliver flexible, accessible banking solutions, breakthrough products, and award-winning service. Beyond banking, we’re committed to making an impact in the communities we serve and across our organization. We foster a culture built on integrity, inclusion, and fearless ambition – where diverse perspectives are valued, and people are empowered to do their best work. Are you ready to disrupt the status quo? Do you crave challenges that push boundaries? If you’re a high performer looking to accelerate your career and reimagine the banking landscape, this is your moment. Let’s shape the future of banking together! (This role is an 18-month Contract)

Requirements

  • Bachelor’s degree in finance, Accounting, Business, information technology or related field
  • Minimum 5 years of related experience in financial services with at least 2 years specializing in project work focusing on testing banking products
  • Strong PC skills with proficiency in Microsoft Excel and Microsoft Word
  • Experience with project work is a must
  • Strong knowledge of finance and full range of financial products
  • Familiarity with current regulatory reporting requirements and “best practices”, and the direction in which regulatory bodies and disclosure requirements are heading.
  • Strong ability to multi-task
  • Ability to work in a fast-paced and demanding environment
  • Ability to have a heightened awareness and adherence to tight deadlines
  • Excellent time management and organization skills
  • Strong attention to detail with a high degree of accuracy

Responsibilities

  • Validate and test end-to-end financial accounting impacts for banking products and payment transactions.
  • Ensure accurate debit and credit postings across, General ledger (GL), Settlement accounts, and Suspense accounts
  • Confirm proper balancing, reconciliation, and financial control execution.
  • Reconciliation & Settlement Validation, Test daily reconciliation processes between core banking, General ledger, and external partner systems
  • Ensure reconciliation breaks, exceptions, and suspense conditions are appropriately identified and managed.
  • Validate manual reconciliation and workaround processes during migration phases
  • End-to-End Banking Product Testing, Support functional and finance testing for all banking products
  • Migration coexistence scenarios between legacy and new core banking systems
  • Defect Management & Issue Resolution
  • Identify, document, prioritize, and track financial and operational defects
  • Perform root cause analysis on reconciliation breaks and posting discrepancies.
  • Escalate high-risk defects impacting financial reporting, regulatory compliance and operational controls
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