Finance

Every rupee accounted for, from invoice to balance sheet

Double-entry accounting with GST-ready invoicing, bank reconciliation and eight financial reports — built around your financial year, not a calendar year.

16
Invoice templates
8
Financial reports
3
Bank import formats
Sequence

How a sale becomes a report

1
Invoice raised
template + auto number
2
GST computed
CGST · SGST · IGST
3
Payment received
matched to bank line
4
Posted to ledger
double entry
5
Reports update
P&L · balance sheet
Capabilities

Books that close on time

Everything listed below is in the product today. Nothing here is a roadmap item.

Ledger & books
  • Customisable Chart of Accounts with import, export and starter templates
  • Double-entry journal entries with post, cancel and audit trail
  • Financial years, monthly accounting periods and lock dates
  • Fixed assets with automatic depreciation schedules
  • Loans with amortisation schedules, deferred revenue and deferred expenses
  • Multi-currency with per-organization currency configuration
Invoicing & receivables
  • 16 ready templates plus a drag-and-drop template builder
  • Generate a template from an invoice you already use
  • Automatic numbering that resets each financial year
  • Send by email through your own SMTP, or share on WhatsApp
  • Public invoice links your customer can open without logging in
  • Recurring invoices, payment recording and reminder logs
Purchases & payables
  • Vendor bills with line items, payments and ageing
  • Upload a bill and let the parser read the vendor and line items
  • Import learning that remembers your vendor and item mappings
  • Aged Payable and Partner Ledger reporting
Banking & reconciliation
  • Import statements as CSV, XLSX or OFX
  • Column mapping that remembers your bank's layout
  • Auto-match suggestions that improve as you confirm them
  • Duplicate detection and transaction-to-account mapping rules
  • Country-wise bank master with manual entry fallback
GST & TDS
  • CGST, SGST and IGST computed automatically on sales and purchases
  • GST returns prepared per period with filing history
  • e-Way bill generation
  • TDS section master, automatic detection and a TDS report
  • HSN/SAC code master, seeded for every new organization
Reporting
  • Trial Balance, Balance Sheet, Profit & Loss and Cash Flow
  • Partner Ledger, Aged Receivable and Aged Payable
  • Executive Summary across the financial year
  • Drill down from any figure to the entries behind it
  • Export every report to CSV, Excel or PDF
Connected

Accounting doesn't work alone

These aren't integrations you configure. They're the same database, the same organization and the same financial year.

Accounting

Ready to put accounting on autopilot?

Start on the free plan. Add modules when your business needs them.

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