Convert M&T Bank Bank Statement to Excel
M&T Bank statements organize checking activity into deposits/credits and withdrawals/debits sections with a daily balance recap, and M&T’s business statements often carry commercial-services lines (remote deposit batches, merchant settlements) whose descriptions span multiple lines. The converter joins wrapped description lines to the right transaction and outputs one chronological table, so batch references stay searchable in Excel.
Download statements from M&T Online Banking under Statements & Documents (multi-year archive once enrolled in e-statements). The PDF you drop below is parsed entirely on your device. Every extracted amount is reconciled against the balance recap where available; disagreements are flagged in the preview and on the Warnings sheet, giving you a targeted review list before the data enters your ledger.
Drop your M&T 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
M&T Bank statement FAQ
Where do I get PDF statements from M&T?
Sign in to M&T Online Banking, select the account, and open Statements & Documents. Choose the cycle and download the PDF. E-statement enrollment extends the available history.
Do merchant settlement and remote deposit lines convert cleanly?
Yes — dated batch lines convert with their full multi-line descriptions rejoined into one cell, so settlement references remain intact for matching against your merchant reports.
What if my M&T statement includes an analysis or fee summary page?
Account-analysis summaries without dated transaction lines are skipped automatically. Only dated entries with amounts become rows, keeping the output strictly transactional.