BSC logoBank Statement Convertor
Bank statement conversion for modern finance operations

Turn bank statement PDFs into ledger-ready spreadsheets.

Upload one statement or a whole batch. The platform validates files, extracts transactions, and packages CSV and XLSX exports — all in one workspace.

Multi-file PDF intakeCSV + XLSX exportsJob-level status trackingCredit sharing for teams

Upload lane

Drop your bank statement PDFs here

PDF onlyMulti-file readyCSV · XLSX · ZIP

Your selected PDFs will appear here before conversion starts.

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Starter lane

Guest

Try the converter instantly without creating an account.

Daily conversion room

3pages

Resets every 24 hours

Quick single-statement tests
Fast first-use experience

Free

No signup required

Start now

Free workspace

Registered

Create a free workspace for more daily conversion room.

Daily conversion room

8pages

Resets every 24 hours

Higher daily conversion room
Better fit for repeat use

Free

Registration stays free

Register free

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Recommended

Unlock higher throughput, larger batches, and a smoother ops flow.

Daily conversion room

Morecapacity

Higher limits on paid plans

Higher throughput and larger batches
Best fit for ongoing workflows

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Designed for regular operations

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What you get

Everything a finance team needs in one flow.

From intake to export, every step is visible and traceable.

Multi-file batch intake

Drop one statement or a full working batch. PDF validation and queue status are visible from the first file.

Structured transaction rows

Parsed output lands in clean tabular format — date, description, debit, credit, and balance ready for export.

CSV and XLSX exports

Every completed job packages downloadable spreadsheet files without manual formatting or cleanup.

Job-level traceability

Upload context, parsed rows, and export files stay linked to the same processing record.

Built for repeat operations

Credit-based access, saved document history, and shared credits make daily finance workflows faster.

No manual cleanup required

Normalised fields mean the output is already usable for reconciliation, review, or downstream systems.

Ready to scale your statement processing?

Choose a plan that fits your monthly volume or contact us for a custom enterprise setup.