GSTReady Ledgers
Ledger structure designed so GST and TDS working comes out clean each month.
Tally Prime the way seasoned Indian accountants use it — masters set up cleanly, GST ready ledgers, and a monthly close you don't have to chase.
Overview
We handle daytoday Tally Prime entries, ledger scrutiny, bank reconciliation and monthly reporting for Indian SMEs — with statutory ledgers structured so your GST and TDS working flows straight through.
Ledger structure designed so GST and TDS working comes out clean each month.
Regular ledger scrutiny — not just data entry — so errors are caught early.
Talk to your accountants directly whenever a Tally query comes up.
Clean Excel workings backing your Tally entries — audit ready by default.
A clear, senior reviewed scope so you know exactly what's delivered every month.
Daily / weekly Tally Prime entries
Masters, groups and ledger setup
Bank, cash and credit card reconciliations
Ledger scrutiny with adjustment entries
GST ready output and input working
Monthly P&L, balance sheet and MIS from Tally
You talk to the two people actually doing your books — no account managers, no ticket queues.
A small client list on purpose, so every engagement gets careful, senior level attention.
Every entry doublechecked, NDAbacked and handled with secure, least privilege access.
Samebusinessday responses on weekdays and a fixed monthly delivery calendar you can plan around.
Ideal Clients
Software Expertise
We work directly inside the software your business already runs on, no forced migrations, no extra tools to learn.
A short intro over email with our two person team to understand your business, tools and priorities.
Software access, chart of accounts review and a monthly cadence tailored to you.
Entries, reconciliations and close handled personally, same people every month.
Reviewed reports on a fixed date, plus direct email access on weekdays.
Ready to move? Send an inquiry.