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Features
Full Accounting Engine
Double-entry books across sales, purchase, receipt, payment, contra, journal, and debit/credit notes — with a tamper-evident hash chain on every voucher.
GST & Compliance
Auto CGST/SGST/IGST, GSTR-1, GSTR-3B, ITC reports, and TDS/TCS handling, all generated from real vouchers.
Inventory & Manufacturing
Stock items and movements with low-stock alerts, plus Bill of Materials and a production journal for simple manufacturing runs.
Payroll & Bank Reconciliation
Salary processing with PF/ESI/TDS calculated automatically, and a bank statement matcher to keep books and bank in sync.
Multi-Company, Role-Based
Each company's books are separately encrypted, with admin/manager/viewer access so staff only see what they should.
AI Assistant
Answers questions and surfaces insights by reading your actual vouchers, ledgers, and stock — never a canned demo dataset.
Full Reports Suite
Trial Balance, Profit & Loss, Balance Sheet, Day Book, Outstanding, and Cash/Bank Book — always current.