What Gets Extracted
Every field you'd want to type by hand. None of the typing.
Transaction Date
Normalized to ISO format, ready for sorting.
Description
Cleaned merchant names, references, and memos.
Debit Amount
Outgoing transactions in original currency.
Credit Amount
Incoming transactions in original currency.
Running Balance
Validated against opening + transactions.
Reference Numbers
FPS, transfer IDs, cheque numbers preserved.
Accuracy
99%+
Every extraction is balance-validated: opening + credits − debits must equal closing. If the math doesn't reconcile, you know before your client does.
- Balance reconciliation on every statement
- Confidence scoring per transaction
- Handles multi-page and continuation pages
- Works with scanned PDFs (OCR)
extraction.csv
Date
Description
Debit
Credit
01 Apr
Opening Balance
85,420.00
03 Apr
FPS — ABC Trading Ltd
12,500.00
05 Apr
Direct Debit — Insurance
3,200.00
08 Apr
Salary — Wong & Co.
42,000.00
12 Apr
ATM Withdrawal — Central
5,000.00