Document guide

Account or card statement

Turn account and card transactions into tables your team can filter and cross-check. Retain dates, descriptions, debits, credits and balances without retyping every line.

Explore fields and examples ↓
Extraction

The information your team needs.

Transactions, dates, amounts and stated balances. Each value retains its document reference so the team can return to the source during review.

Illustrative fields · Fictional data. Fields and output are configured for the supplied documents and agreed workflow.

From the document to structured fields
FieldWhat it containsExample
Account and holderAccount or card reference and stated holder.Account ending 0042
PeriodStatement start and end dates.1–30 Sep 2026
Transaction datesTransaction and value dates, kept separate.Transaction: 15 Sep · value: 16 Sep
DescriptionTransaction text and available reference.Instalment payment · OP-0042
Debits and creditsAmount, sign and currency of each transaction.Credit: €150.00
BalancesStated opening, closing and running balances.Closing balance: €3,200.00
Checks

Connect the data. Find what needs attention.

  1. Identify incomplete periods and possible duplicate transactions in overlapping statements.

  2. Cross-check balances against certificates and the datatape using the same date, currency and included components.

An unreadable transaction is flagged for review. Missing periods are not filled with assumed transactions.

Your next step

Information ready for your workflow.

A transaction table linked to the account, period and document. Receive an Excel or CSV file for review, or structured data in the format agreed for your system.

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Try it with a batch of your documents. We agree the sample, fields and confidentiality before starting.

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