Products · GST, ERP & Bank Reconciliation

Every rupee, matched. GST, ERP & bank reconciliation on autopilot.

Our matching engine reconciles GST returns, ERP ledgers and bank accounts — recovering input tax credit, flagging mismatches and closing your books faster.

What it matches

One engine. Every reconciliation.

GST reconciliation

GSTR-2B vs purchase register, GSTR-1 vs sales register, GSTR-3B cross-checks — with ITC leakage flagged line by line.

Bank account reconciliation

Multi-bank statements matched against your ERP ledger — unexplained credits, missed receipts and duplicate payments surfaced daily.

Invoice 3-way match

PO, GRN and invoice matched automatically; vendor-side GST filing status checked before you release payment.

Why teams switch

From month-end fire drill to daily hygiene

AI matching handles the 95% that reconciles cleanly. Your team works a short exception queue instead of a spreadsheet marathon.

  • Fuzzy matching across amounts, dates, references & narration
  • ITC recovery: catch unclaimed credit before it lapses
  • Connectors for Tally, SAP, Zoho, Oracle & bank feeds
  • Maker-checker workflow with a complete audit trail
Book a Demo
Reconciliation run · June 2026Auto-matched 96.4%
GSTR-2B vs Purchase register4,812 of 4,988 lines matchedMatched
ITC at risk₹18.4 L unclaimed · 42 invoicesAction
Bank vs Ledger · 3 banks12,204 transactionsMatched
Unexplained debit₹2.1 L · HDFC · 28 JunReview
How it works

Four steps to a clean close

Connect

GST portal, bank feeds and your ERP or accounting software — one-time setup.

Auto-match

AI matches lines across sources, including partial and many-to-one matches.

Work exceptions

Only genuine mismatches reach your team, ranked by value and age.

Close & report

Audit-ready reconciliation statements and ITC recovery reports on demand.

How much ITC are you leaving on the table?

Send us one month of GST data — we’ll show you the mismatches and unclaimed credit in a live session.