FR Bank Statement

The Ruby Client Library supports the Bank Statement API.

Product Specifications

Specification
Details

Endpoint Name

bank_statement_fr

Recommended Version

v2.0

Supports Polling/Webhooks

✔️ Yes

Support Synchronous HTTP Calls

❌ No

Geography

🇫🇷 France

Quick-Start

Using the sample below, we are going to illustrate how to extract the data that we want using the SDK.

Bank Statement Sample

Sample Code

Sample Output (rST)

Standard Fields

These fields are generic and used in several products.

Basic Field

Each prediction object contains a set of fields that inherit from the generic Field class. A typical Field object will have the following attributes:

  • value (String, Float, Integer, bool): corresponds to the field value. Can be nil if no value was extracted.

  • confidence (Float, nil): the confidence score of the field prediction.

  • bounding_box (Mindee::Geometry::Quadrilateral, nil): contains exactly 4 relative vertices (points) coordinates of a right rectangle containing the field in the document.

  • polygon (Mindee::Geometry::Polygon, nil): contains the relative vertices coordinates (Point) of a polygon containing the field in the image.

  • page_id (Integer, nil): the ID of the page, always nil when at document-level.

  • reconstructed (bool): indicates whether an object was reconstructed (not extracted as the API gave it).

Aside from the previous attributes, all basic fields have access to a to_s method that can be used to print their value as a string.

Amount Field

The amount field AmountField only has one constraint: its value is a Float (or nil).

Date Field

Aside from the basic Field attributes, the date field DateField also implements the following:

  • date_object (Date): an accessible representation of the value as a JavaScript object.

String Field

The text field StringField only has one constraint: it's value is a String (or nil).

Specific Fields

Fields which are specific to this product; they are not used in any other product.

Transactions Field

The list of values that represent the financial transactions recorded in a bank statement.

A BankStatementV2Transaction implements the following attributes:

  • amount (Float): The monetary amount of the transaction.

  • date (String): The date on which the transaction occurred.

  • description (String): The additional information about the transaction.

Attributes

The following fields are extracted for Bank Statement V2:

Account Number

account_number (StringField): The unique identifier for a customer's account in the bank's system.

Bank Address

bank_address (StringField): The physical location of the bank where the statement was issued.

Bank Name

bank_name (StringField): The name of the bank that issued the statement.

Client Address

client_address (StringField): The address of the client associated with the bank statement.

Client Names

client_names (Array<StringField>): The name of the clients who own the bank statement.

Closing Balance

closing_balance (AmountField): The final amount of money in the account at the end of the statement period.

Opening Balance

opening_balance (AmountField): The initial amount of money in an account at the start of the period.

Statement Date

statement_date (DateField): The date on which the bank statement was generated.

Statement End Date

statement_end_date (DateField): The date when the statement period ends.

Statement Start Date

statement_start_date (DateField): The date when the bank statement period begins.

Total Credits

total_credits (AmountField): The total amount of money deposited into the account.

Total Debits

total_debits (AmountField): The total amount of money debited from the account.

Transactions

transactions (Array<BankStatementV2Transaction>): The list of values that represent the financial transactions recorded in a bank statement.

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