Document Understanding
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- Overview
- Getting Started
- Activities
- Insights Dashboards
- Document Understanding Process
- ML Packages
- Overview
- 1040 - ML Package
- 1040 Schedule C - ML Package
- 1040 Schedule D - ML Package
- 1040 Schedule E - ML Package
- 4506T - ML Package
- 990 - ML Package - Preview
- ACORD125 - ML Package
- ACORD126 - ML Package
- ACORD131 - ML Package
- ACORD140 - ML Package
- ACORD25 - ML Package
- Bank Statements - ML Package
- BillsOfLading - ML Package
- Certificate of Incorporation - ML Package
- Certificate of Origin - ML Package
- Checks - ML Package
- Children Product Certificate - ML Package
- CMS 1500 - ML Package
- EU Declaration of Conformity - ML Package
- Financial Statements - ML Package
- FM1003 - ML Package
- I9 - ML Package
- ID Cards - ML Package
- Invoices - ML Package
- Invoices Australia - ML package
- Invoices China - ML package
- Invoices India - ML package
- Invoices Japan - ML package
- Invoices Shipping - ML Package
- Packing Lists - ML Package
- Payslips - ML Package
- Passports - ML Package
- Purchase Orders - ML Package
- Receipts - ML Package
- RemittanceAdvices - ML Package
- UB04 - ML Package
- Utility Bills - ML Package
- Vehicle Titles - ML Package
- W2 - ML Package
- W9 - ML Package
- Public Endpoints
- Licensing
Checks - ML Package
PREVIEW
Document Understanding User Guide for Modern Experience
Last updated Apr 26, 2024
Checks - ML Package
A Check (Cheque) is a document that orders a bank to pay a specific amount of money from a person’s account to the person in whose name the check has been issued.
The model extracts key data points from this document.
The model automatically detects data such as:
- Amount Written
- Payee
- Amount
- Date
- Bank Name
- Check Number
- Routing Number
- Account Number
Note: For the complete list of extracted fields, check
the Out-of-the-box Models
Details file.