常见Canadian银行对账单挑战
我们尚未处理过Vancity 银行对账单,但根据我们已处理过的其他Canadian银行对账单,以下是我们常处理的挑战:
Transactions Split Across Multiple Tables
许多Canadian银行 statements split transactions into separate tables by type (deposits, withdrawals, checks, online transfers, etc.), each with different column layouts. Manually merging these into a single timeline is tedious and error-prone. We combine all tables into one chronological list while preserving transaction type information.
检测于 ATB Financial, American Express,以及另外 6 项
Missing Year in Dates
许多Canadian银行 statements omit the year from transaction dates (e.g., "15/03" instead of "15/03/2025"), which makes it impossible to sort or reconcile without guessing. We infer the correct year from the statement period and surrounding context.
检测于 American Express, BMO,以及另外 6 项
Running Balance Cross-Check
许多Canadian银行 statements include a running balance column that most converters ignore. Without validating it, missing or duplicate transactions go undetected. We extract this balance and cross-check it against opening/closing balances to ensure every transaction is accounted for.
检测于 BMO, Desjardins,以及另外 4 项
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