Strategic Financial
Automation.
Upgrade from reactive bookkeeping to proactive financial intelligence. We automate your entire accounting lifecycle—from transaction intake to executive statutory reporting.
Data Latency
Manual data entry creates a lag between events and visibility.
Reporting Gaps
MIS reports delivered weeks after the month-end close.
Reconciliation Debt
Persistent mismatches between bank books and general ledgers.
Statutory Risk
Inaccurate filings leading to interest, penalties, and audit friction.
Financial Control & Governance
Automated guardrails protecting your business from manual leakage and errors.
Systemic Bank Reconciliation
Real-time synchronization between bank statements, book ledgers, and GST portal data for instant anomaly detection.
Statutory Vendor Verification
Automated blocking of disbursements to vendors with inactive GST status, preventing credit loss and penalties.
Intelligent Receivables Mgmt
Rule-based escalations and polite payment reminders triggered automatically based on aging reports.
Tax Liability Provisioning
Automated calculation and provisioning of GST/TDS liabilities to ensure consistent working capital management.
Reports You Can Use
Get clear, simple reports on your mobile phone. No more manual Excel work or asking your accountant daily for data.
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01
Daily Profit & Loss
See exactly how much profit you made today automatically.
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02
Cash-in-Hand Today
See exactly how much money is in your bank and safe right now.
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03
Upcoming Tax List
A simple list of all GST and TDS payments due next week.
Financial Maturity Model
Where does your business stand? We help you move from legacy entry to predictive intelligence.
The Automation Inventory
Direct GL Sync
Bridging the gap between your operational sales and the general ledger with zero manual reconciliation.
Autonomous AP/AR
Automated chasing for receivables and scheduled, system-verified payables logic.
Statutory Sovereign Vault
Automated grouping of documents for GST/TDS audits, ensuring you are 100% "Inquiry Ready".
Fast Closing
Close your books within 72 hours of month-end.
Recon Match
Automated matching of bank, gateway, and ledger entries.
Burn Analysis
Real-time visibility on cash runway and departmental burn.
Manage Your Cash
Automatically
Beyond simple accounts, our system monitors your bank balance and upcoming bills in real-time. We give you automatic alerts so you never face a cash shortage.
Cash Forecast
See how much money you will have in the bank next month based on your current orders.
Payment Timing
Smart scheduling of vendor payments to help you keep more cash in your hand for longer.