監査対応の抽出

銀行取引明細書を
Reviewable Excel

Skip manual table rebuilding. Upload a bank statement, review dates and balances, then export structured Excel data.

登録不要 • 無料でお試し

Extracts running balances and dates for review
Keeps multi-column splits reviewable
通貨記号を検出 ($, €, £)

Exports for accounting review

Excel workbook QuickBooks CSV Xero CSV
FIRST NATIONAL BANK
Account Statement • Jan 2024
Account
****4821
取引履歴
日付
説明
金額
残高
01/15/24
Amazon.com
-$89.99
$12,450.00
01/16/24
Wire Transfer - Acme Corp
-$5,000.00
$7,450.00
01/17/24
Electric Company
-$142.50
$7,307.50
01/18/24
Whole Foods Market
-$67.23
$7,240.27
bank_statement_export.xlsx
ファイル ホーム 挿入 データ
A
B
C
D
1
日付
説明
金額
残高
2
01/15/24
Amazon.com
-$89.99
$12,450.00
3
01/16/24
Wire Transfer - Acme Corp
-$5,000.00
$7,450.00
4
01/17/24
Electric Company
-$142.50
$7,307.50
5
01/18/24
Whole Foods Market
-$67.23
$7,240.27

ここに明細書をドロップ

PDF、JPG、PNG(最大50MB)

明細書をスキャン

ページをキャプチャして1つのバッチでアップロードします。

カメラを開始中…

カメラが利用できません

キャプチャしたページ

複数の写真を追加してからアップロードします。

ヒント:すべてのエッジを見える状態に保ち、ページを静止させてください。

HTTPS protected Private workspace カメラでスキャン

Pick the statement workflow

Start with the path that matches this month.

Use a proof statement for first-time cleanup, bank-specific pages for known layouts, and monthly plans when clients repeat.

財務チーム向けに設計

テーブルはテーブルのまま。いつでも。

行の崩れや列のずれはもうありません。AIがデータを正確な位置に保持します。

Structured rows for review

Prepare bank-statement rows with dates, descriptions, amounts, and balances so your team can review the export before using it.

100件以上のドキュメントを一括処理

Upload a year of bank statements. Get one consolidated Excel file for reviewing months of client document work.

Source Review Context

Keep extracted fields near their source document so your team can review the output before using it.

準備完了
Reviewable Output
<30s
処理時間
銀行
銀行フォーマット
TLS
HTTPS Transport

Built for bookkeeping teams

Bank statement workflows worth paying for

The paid value is not another OCR transcript. It is a reviewed sheet your team can import or archive.

Repeat batches

Monthly client statements

Upload client-supplied or historical bank statements, review extracted rows, then export the format your bookkeeping process expects.

Batch review

January statement 準備完了
February statement 準備完了
March statement Needs review

Control point

Review before import

Keep the source statement available while checking dates, descriptions, balances, and ambiguous rows.

Output

Accounting exports

Export reviewed rows to Excel, CSV, QuickBooks CSV, or Xero CSV without rebuilding the table by hand.

For recurring statement cleanup

Save bank/client mappings, batch monthly PDFs, reuse corrections, and surface duplicate, overlapping, or missing statement periods.

Client batches

Monthly statements stay grouped.

Saved mappings

Corrections can guide repeat work.

Balance checks

Totals stay visible.

QuickBooks/Xero

Exports fit accounting review.

Questions before upload

What the workflow covers

Details on security, file handling, and accounting exports.

File compatibility

We accept native PDFs, scanned images (JPG/PNG/TIFF), and Excel files. Scanned or handwritten documents should be reviewed before export.

Multi-page statements

PDF2TEXT prepares cross-page statement tables for review. Check continuation rows and repeated headers against the source before export.

Data security

Original files and results are retained in your private workspace so you can review and export them. Access requires the owning session or account, and transport uses HTTPS. Contact support to request deletion.

Accounting Exports

Export reviewed statement rows as Excel, CSV, JSON, or QuickBooks/Xero-friendly files for accounting workflows.

OCR performance

Our pre-processing pipeline enhances contrast and deskews images before extraction. Always review the extracted rows before relying on them.

Unusual layouts

Review unusual bank-statement layouts carefully before relying on the exported accounting file.

Bank statement pages

Browse statement converter pages

Find common bank-statement workflows by region, or search for the bank page closest to your file.

お使いの銀行が見つかりませんか? Start the bank-statement workflow