How To Organize Bank Statements in Excel (2 Handy Methods)
How To Organize Bank Statements in Excel (2 Handy Methods)
Home » Excel Basics » How to Organize Bank Statements in Excel (2 Handy Methods)
Bank statements are one of the most necessary documents in our day-to-day life.
Financial institutions need to prepare organized bank statements on a regular basis.
When you have a tool like Microsoft Excel, you can easily organize a bank statement
with a large set of data within a very short time. This article demonstrates how to
organize bank statements in Excel with proper explanation.
A bank statement is a record of all the transactions during a specific period of time,
and its summary is documented and provided by the financial institution. In other
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words, a bank statement contains information like account details, personnel details,
statement period, account activity summary, transaction history, etc.
In the following screenshot, I have shown you an outline for a Bank Statement.
Also, I have included information like account details, personnel details,
statement period, account activity summary, and transaction history in the
outline.
Finally, follow the given example and make an outline of a Bank Statement on
your own according to your preference.
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Now, let’s assume you have a Bank Statement where you have all the required data
inserted. However, in this case, you don’t have the transaction history data organized.
So, I will show you two methods to organize a Bank Statement.
Steps:
First, select the cell range you want to organize. In this case, I selected range
B16:E21.
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Here, cells B16 and E21 are the first and last cells of the columns Date and
Withdrawal respectively.
Finally, the Bank Statement will look like the screenshot below.
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💡Notes:
If you want to organize your Bank Statement according to the Deposit amount, you
can select Deposit from the Sort by options and follow the other steps to do so.
Also, if you want to organize your Bank Statement according to the Withdrawal
amount, you can select Withdrawal from the Sort by options and follow the other
steps to do so.
Moreover, in the case of sorting, avoid selecting cells that include formulas.
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Steps:
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Then, make sure you have the Order from Smallest to Largest.
Next, click on Add Level.
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As a result of all the above steps, you will have an output like the following
screenshot.
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💡Notes:
Now, if you want to show the Withdrawals first organized according to their Date of
Transaction in your Bank Statement, select Deposit instead of Withdrawal from the
Sort by option.
Also, make sure you have the Order in Smallest to Largest format.
Moreover, in the case of sorting, avoid selecting cells that include formulas.
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You can download the practice workbook from the link below.
Conclusion
In this article, I have shown you two methods to organize a bank statement, an
outline for a bank statement, and also provided a template for the bank statement.
So, you can download the Template and utilize it if you want. Last but not least, I
hope you found what you were looking for in this article. If you have any queries,
please leave a comment below.
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Related Article
How to Edit Bank Statement in Excel
How to Convert Credit Card Statement to Excel
<< Go Back To How to Create a Bank Statement in Excel |Excel For Finance |
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