Engineered for seamless double-entry bookkeeping, automated GST reconciliation, multi-bank statement imports, and instant balance sheet generation.
Automated journal vouchers, trial balance, and real-time ledger drill-down.
Auto-match bank feeds and ledger statements in a single click.
Dynamic day-summary reports with multi-year comparative auditing.
GSTR-1, GSTR-3B matching with multi-firm GST compliance.
Authorized portal login for accounting, billing & audit modules.