Convert Chase Bank Statement PDFs to Clean Excel & QBO
Chase bank statements feature multiple segregated sections: Deposits, Electronic Withdrawals, Checks Paid, and Fees. Our specialized Chase parser seamlessly extracts every line into a balanced, reconciled Excel workbook and QuickBooks file.
Why Generic Converters Fail on Chase Statements
Chase uses distinct table headers, wrapped Zelle descriptions, and separate check columns that trip up basic OCR.
Multi-Line Zelle & Wire Memos
Chase wraps transaction memos across two or three lines (e.g. ORIG CO NAME: ... CO ENTRY DESCR: ...). Offline Bookkeeping collapses wrapped lines into a single clean payee.
Chase Check Images & Numbers
Checks paid are listed in 3-column matrices without description words. Our engine extracts the Check #, Date, and Amount with 100% balance integrity.
Chase Daily Balance Reconciliation
Chase prints beginning balances, total deposits, total deductions, and ending balances. We check your parsed totals against Chase's summary box for zero-error assurance.