Pubs & Bars + Bank Reconciliation: The Challenge
As pub owner, preparing bank statements for bank reconciliation is a common but time-consuming task. Monthly bank reconciliation requires matching every bank transaction against your accounting records. Working from PDF statements makes this slow and error-prone.
How BankScan AI Helps Pubs & Bars with Bank Reconciliation
Convert your pub bank statements to Excel to reconcile daily takings, match brewery and supplier invoices, and prepare VAT returns accurately. For bank reconciliation specifically, BankScan AI extracts Every transaction with date, description, and amount; opening and closing balanc automatically.
How Pubs & Bars Handle Bank Reconciliation
When preparing bank statements for bank reconciliation, pubs & bars need to Pub owners reconcile daily card terminal settlements and cash banking against till Z-readings, match brewery and drinks supplier invoices against bank. BankScan AI automates the data extraction step.
Key terms you'll encounter: Z-reading, wet sales, dry sales, cellar management.
How It Works
Upload bank statement PDFs
Supports all major banks. Upload Monthly, covering one calendar month per reconciliation cycle; year-end reconciliation covers the full 12-month period of statements for bank reconciliation.
AI extracts what you need
Our AI extracts Every transaction with date, description, and amount; openin — formatted for pubs & bars workflows.
Complete your bank reconciliation work
Download Excel files ready for bank reconciliation. Transactions in exact chronological order with running balance, matching the bank's own running total; amounts must reconcile to the penny against the nominal ledger
Supported Banks
BankScan AI works with all major UK and US banks, including:
Features for Pubs & Bars — Bank Reconciliation
- Built for Pubs & Bars — Saves 2-3 hours per week on daily takings reconciliation and brewery payment matching for a typical pub processing 300+ transactions per day
- Software compatible — Output works directly with Xero, QuickBooks, Stonegate POS
- Built for Bank Reconciliation — Convert bank statement PDFs to Excel for fast side-by-side reconciliation with your accounting records. Sort by date, filter by amount, and spot discrepancies instantly.
- Key data extracted — Every transaction with date, description, and amount; opening and closing balances; uncleared cheques, pending deposits, and timing differences
Compliance: Pubs & Bars + Bank Reconciliation
When pubs & bars prepare bank statements for bank reconciliation, specific compliance requirements apply.
- Licensing Act 2003 compliance requires financial records demonstrating responsible management. HMRC scrutinises cash-heavy businesses more closely, and pubs must maintain detailed records of cash and card takings. VAT on alcohol, food, and soft drinks may have different rates. Machine gaming duty applies to fruit machines.
- Legal basis: No specific statute, but FRS 102 and Companies Act 2006 require accurate financial records; auditors test bank reconciliations as a core audit procedure under ISA 500
Bank Reconciliation — Built for Pubs & Bars
Best practice is to reconcile within 5 working days of month-end; delays compound and make year-end reconciliation significantly harder
Try Free — Pubs & Bars + Bank Reconciliation