See the workflow before uploading

Bank statement OCR sample output

Follow one fictional statement from read-only PDF to flagged rows, reviewed corrections, CSV, and a three-sheet Excel workbook.

01 · Original source

A read-only synthetic statement

The original contains 26 transactions across two pages. In a real RasterLift workflow it remains read-only and is used as evidence when a field needs review.

Bank
Northstar Community Bank
Account
NCB-SAMPLE-4821
Period
January 2026
Transactions
26
Open full PDF
First page preview of the synthetic Northstar Community Bank statement

02 · Review flags

Uncertainty stays visible

These three issues were deliberately inserted into the mock OCR result. Each correction is based on the fictional source PDF, not a guess.

Row 6 · Date sequence anomaly

Medium

Extracted Date

2026-01-18

Reviewed correction

2026-01-08

Source page 1 · Resolved in the sample export

Row 10 · Amount recognition error

High

Extracted Money Out

$190.00

Reviewed correction

$19.00

Source page 1 · Resolved in the sample export

Row 19 · Running-balance mismatch

High

Extracted Balance

$7,995.24

Reviewed correction

$7,995.42

Source page 2 · Resolved in the sample export

03 · Reviewed transactions

Corrected data ready for export

All 26 rows below use the reviewed values included in both downloadable output files.

Row 1 · Jan 03, 2026

Northstar Payroll Deposit

+$3,200.00
Balance$7,487.65

Row 2 · Jan 04, 2026

Maple Street Property Rent

−$1,450.00
Balance$6,037.65

Row 3 · Jan 05, 2026

Harborview Market

−$86.43
Balance$5,951.22

Row 4 · Jan 06, 2026

Juniper Coffee House

−$12.80
Balance$5,938.42

Row 5 · Jan 07, 2026

North County Electric

−$94.16
Balance$5,844.26

Row 6 · Jan 08, 2026

Transfer From Savings 7730

+$500.00
Balance$6,344.26

Row 7 · Jan 09, 2026

Evergreen Mutual Insurance

−$128.75
Balance$6,215.51

Row 8 · Jan 10, 2026

Cedar Hardware

−$63.29
Balance$6,152.22

Row 9 · Jan 11, 2026

Bluebird Kitchen

−$58.40
Balance$6,093.82

Row 10 · Jan 12, 2026

Ledger Cloud Subscription

−$19.00
Balance$6,074.82

Row 11 · Jan 13, 2026

Pine Fuel Station

−$47.62
Balance$6,027.20

Row 12 · Jan 14, 2026

Riverside Pharmacy

−$28.15
Balance$5,999.05

Row 13 · Jan 15, 2026

Northstar Mobile

−$72.00
Balance$5,927.05

Row 14 · Jan 16, 2026

Northstar Payroll Deposit

+$3,200.00
Balance$9,127.05

Row 15 · Jan 17, 2026

Transfer To Savings 7730

−$800.00
Balance$8,327.05

Row 16 · Jan 18, 2026

Harborview Market

−$112.64
Balance$8,214.41

Row 17 · Jan 19, 2026

Northlight Streaming

−$15.99
Balance$8,198.42

Row 18 · Jan 20, 2026

ATM Withdrawal River Plaza

−$200.00
Balance$7,998.42

Row 19 · Jan 21, 2026

Out-of-Network ATM Fee

−$3.00
Balance$7,995.42

Row 20 · Jan 22, 2026

Harborview Market Refund

+$24.50
Balance$8,019.92

Row 21 · Jan 23, 2026

Bluebird Kitchen

−$76.35
Balance$7,943.57

Row 22 · Jan 24, 2026

North County Water

−$41.87
Balance$7,901.70

Row 23 · Jan 26, 2026

Elm Street Books

−$35.20
Balance$7,866.50

Row 24 · Jan 28, 2026

Monthly Interest

+$4.12
Balance$7,870.62

Row 25 · Jan 30, 2026

Aurora Credit Card Payment

−$624.18
Balance$7,246.44

Row 26 · Jan 31, 2026

Transfer To Travel Savings

−$250.00
Balance$6,996.44

04 · Excel preview

Three sheets keep the handoff clear

The Excel sample separates a high-level check, the complete corrected table, and the history of resolved review issues.

01

Summary

$6,928.62 in · $4,219.83 out

02

Transactions

26 corrected rows with source page and confidence

03

Review Flags

3 resolved issues with before-and-after values

Convert your own statement

Use the same review-first workflow on your PDF.

Upload a bank or credit card statement, check flagged rows, and export the corrected data. Your first 5 pages are free.