Why it exists
Bank statements are often difficult to move into accounting software: dates vary, amount columns differ and PDF tables are hard to reuse. Bank File Flow turns those specific file problems into reviewable CSV workflows.
How it works
The tools read supported files in your browser, preserve source details and show a preview before export. They flag uncertain rows instead of silently guessing. When balance figures are available, reconciliation adds another check.
Understand the result status
What it does not do
Bank File Flow does not connect to your bank or accounting account, perform bookkeeping, or guarantee an import. Scanned PDFs are not supported, and unusual layouts can require manual review. Keep the original statement and verify every export.