Convert Fifth Third Bank Bank Statement to Excel

Fifth Third statements list checking activity in sections for deposits, withdrawals, and checks with a daily balance summary — and business accounts frequently add treasury-management lines with long, code-heavy descriptions (ACH company IDs, locator numbers). The converter preserves those descriptions verbatim in a single cell per transaction, which matters when you need to trace an ACH back to its originator during reconciliation.

Download statements from Fifth Third online banking (53.com) under the Documents or Statements section; several years are retained. Parsing is entirely local to your browser, and the running-balance continuity check verifies each row where balance data appears. For bookkeepers doing monthly write-up work across several Fifth Third accounts, each PDF converts in seconds with a totals row for a quick tie-out.

Drop your Fifth Third Bank statement here (PDF or photo)

Processed entirely on this device — nothing is uploaded. Scans and photos are read with on-device OCR (beta).

Free for your first 5 pages each month · Processed on your device · Balance-verified output

Fifth Third Bank statement FAQ

Where are PDF statements at Fifth Third?

Sign in at 53.com, choose the account, then open Statements/Documents. Pick the cycle and download the PDF; the mobile app carries the same document archive.

Do long ACH descriptions on Fifth Third business statements survive conversion?

Yes — the full description including company IDs and reference codes is preserved in one Description cell, with wrapped lines rejoined, so traceability is not lost.

Can I tie the converted totals back to my Fifth Third statement?

The Excel file has a totals row summing Debits and Credits. Those should match the withdrawal and deposit totals printed in the statement summary — a 10-second verification.