Sage + Nonprofit Organizations: Faster Bank Import
Nonprofits need accurate bank reconciliation for grant reporting, donor accountability, Form 990 preparation, and board financial presentations. If you use Sage for your accounting, you need a fast way to get bank statement data into the system.
BankScan AI for Nonprofit Organizations Using Sage
BankScan AI converts any bank statement PDF to CSV formatted for direct import into Sage. Convert nonprofit bank statements to structured spreadsheets for grant expense tracking, donor fund reconciliation, and Form 990 preparation.
The Nonprofit Organizations + Sage Workflow
Nonprofit finance staff reconcile bank statements against donor management systems to verify donation receipts, track grant expenditures against budget line items for funder reporting, prepare monthly board financial reports, allocate expenses between programs and administration, and compile data for annual Form 990 preparation. Restricted fund tracking requires each grant's spending to be isolated.
Key terms you'll encounter: Form 990, restricted vs unrestricted, functional expense allocation, in-kind donation.
How It Works
Upload any bank statement PDF
Supports all major banks. Saves 3-4 hours per month on grant expense tracking and donor reconciliation, plus 8-10 hours during annual Form 990 preparation
AI formats for Sage
Output as CSV with Date, Details/Reference, Paid in, Paid out — Sage requires separate debit and credit columns rather than a single signed amount — dates in DD/MM/YYYY.
Import and reconcile
In Sage Accounting, go to Banking > select your bank account > Import statement. Upload the CSV, confirm column mapping (Date, Details, Paid in, Paid out), and import. Sage's bank reconciliation remembers previous matching rules, so repeat transactions from the same payee are auto-suggested for the same nominal code.
Supported Banks
BankScan AI works with all major UK and US banks, including:
Sage Features for Nonprofit Organizations
- Sage ready — Output formatted as CSV matching Sage's expected column structure
- Smart integration — Sage's bank reconciliation remembers previous matching rules, so repeat transactions from the same payee are auto-suggested for the same nominal code.
- Built for Nonprofit Organizations — Saves 3-4 hours per month on grant expense tracking and donor reconciliation, plus 8-10 hours during annual Form 990 preparation
- Software compatible — Output works directly with QuickBooks Nonprofit, Sage Intacct, Aplos
Import Steps for Nonprofit Organizations Using Sage
As nonprofit director, here's how to get bank data into Sage:
- In Sage Accounting, go to Banking > select your bank account > Import statement
- Upload the CSV, confirm column mapping (Date, Details, Paid in, Paid out), and import
Common Import Issues
Sage requires separate Paid in/Paid out columns — a single Amount column will fail. Also rejects imports where the date column contains time stamps.
Sage Import — Built for Nonprofit Organizations
UK heritage brand with 30+ years in accounting software. Sage 50 Desktop remains dominant in mid-market, while Sage Accounting targets cloud-first small businesses.
Try Free — Sage + Nonprofit Organizations