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Multi-branch xlsx / xls ledgers, Tally exports, and GSTR-2B as JSON or Excel. Column layouts you've mapped before are remembered per template.
Each ledger file is parsed and tagged with its branch code (auto-generated, editable). Reports roll up at branch level and at client level, with drill-down to source voucher.
They're surfaced before the run with a per-branch list. You can include all, exclude all, or pick individually. Excluded rows remain in the source file — they're just skipped during reconciliation.
Files are processed in an isolated tenant, retained only for the duration of the engagement, and purged on request. We're SOC-2 ready and support BYO storage on enterprise plans.
Yes — sign up, add a client, run a free monthly reconciliation. No card needed until you commit to an annual run.
Tally exports import cleanly via our Tally Imports flow. Direct ODBC and TCP integration is available on the enterprise plan.