You Bitrue CSV files can be imported via Custom Exchange Import using the following setting for each file:
Bitrue deposit and bonus/benefit files
For the bonus/benefit file, after importing the transactions, please bulk edit the transaction type from "Deposit" to "Reward/Bonus" as described here: Bulk Edit and Delete transactions.
Bitrue withdrawal file
Bitrue trade file
For trade files, there will be a warning mentioned that the import data contains errors and not all trades can be imported. Please ignore this as the error comes from the rows as follows that exist in the trade file: