China Finance Docs

Translate Chinese bank statement exports into usable Excel

Instead of handing over a raw Chinese CSV, convert bank statement rows into a cleaner Excel workbook with summary fields and transaction-level review.

Who this page is for

Founders who need to hand Chinese bank records to overseas accountants.

Finance operators cleaning exported statement CSV files before reconciliation.

Teams standardizing statement data from Chinese banks or Alipay exports.

What you get

Excel workbook with a statement summary sheet and transaction sheet.
Editable transaction fields before the workbook is generated.
A bank-statement-specific path that keeps the workflow focused on CSV data.

How the workflow runs

Step 1

Upload a bank statement CSV export.

Step 2

Review parsed dates, counterparties, debit, credit, balance, and reference rows.

Step 3

Generate the Excel workbook for finance review or reconciliation.

FAQ

Do you support PDF bank statement uploads?

Right now the bank statement path is limited to CSV exports. That keeps the first version reliable for structured review and Excel output.

What output format is available for bank statements?

The current bank statement path generates Excel only, because that is the format most useful for cleanup and reconciliation.