Introducing VAS - an end to end reconciliation solution ideal for accounting teams to reconcile books (GL) with GST data

Reconcile between GL Sales and Einvoice/GSTR1 data or GL Purchases with GSTR 3B to ensure error free reporting on GSTN portal

Use custom recon parameters to compare the different data sets to identify gaps

Data is auto bucketed into Exact match, Partial match and No match - take real-time business decisions with these insights

Create custom report templates for relevant stakeholders to view relevant fields

Built-in workflow to manage Duplicates and Amendments to ensure seamless reconciliation

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