Books that
build themselves.

Drop a bank statement — get a fully categorized ledger, to-the-paisa reconciliation, and Tally-ready imports in minutes. Built for Indian CA firms and founders.

Create a workspace I have an access code

The demo opens a live workspace preloaded with a synthetic year of transactions. Nothing you see in it is real data.

SAMPLE✓ Reconciled to the paisa — opening + credits − debits = statement closing, every time
Full year
processed in minutes
₹0.00
reconciliation difference
Most rows
auto-classified
1-click
Tally import files

Three steps to audit-ready

The work a junior spends a week on, done before your chai gets cold.

STEP 01

Drop the statement

.xls, .xlsx or .csv straight from netbanking. The parser finds the header row itself — ICICI, and any sheet with date, narration and amount columns.

STEP 02

Review what's flagged

Every transaction is categorized with a confidence marker. Fix one row and “Apply to similar” reclassifies the whole counterparty — and the engine remembers for next time.

STEP 03

Export & file

A remarks Excel your auditor can read, plus Tally masters and vouchers XML that import a full year of entries in one shot. Balanced to the paisa.

Built like working papers, not a toy

Everything is designed to survive an auditor's scrutiny.

Learning rule engine

Your corrections become client-specific rules. Every statement you review makes the next one cleaner — per client, forever.

To-the-paisa reconciliation

Opening + credits − debits must equal the statement closing. If it doesn't, you see it immediately — no silent gaps.

Tally-native exports

Masters and vouchers XML with correct Receipt / Payment / Contra types and balanced ledger entries. Import, don't retype.

Multi-client workspaces

Each client keeps separate statements, rules and ledgers. Made for a firm handling hundreds of books.

Confidence, not guesswork

Confirmed / auto-matched / needs-review markers on every row, so review time goes where it matters.

Remarks Excel for the CA

The classic annotated bank statement — categories, ledger mapping, summary and reconciliation sheets — generated, not typed.

For CA firms, this is leverage

Filing season maths, per client:

  • A year of bank entries categorized in minutes, not days of article time
  • Consistent ledger heads across every client, every year
  • Juniors review flagged rows instead of typing 1,300 vouchers
  • Tally import removes data-entry errors entirely
  • Your firm's corrections compound into your firm's rule library

Create your workspace

Free while in beta. You get an access code immediately — no call, no waiting.

Your clients' data stays inside your workspace. We never train models on it.

Pricing

Priced below every comparable Indian tool, because the rule engine does most of the work and we don't pay for your data twice.

Beta
Free
while we're in beta
  • Unlimited statements and clients
  • Every feature, including exports
  • Direct line to the founding team
  • Your rate is locked when we launch
Create a workspace
Business
₹374/month
one company, unlimited bank accounts
  • Schedule III P&L and balance sheet
  • GST reconciliation against filed returns
  • Tally masters and vouchers export
  • Attach invoices from your phone
Start free
Most CA firms start here
Practice
₹1,124/month
10 client workspaces · unlimited seats
  • Everything in Business, for ten clients
  • No per-seat charge — put the whole team on it
  • Per-client rule library that compounds each year
  • CA pack: remarks, Tally XML, statements
  • Audit trail on every classification
Start free
Firm
₹2,999/month
30 client workspaces · unlimited seats
  • Everything in Practice, for thirty clients
  • Priority support during filing season
  • Onboarding of prior-year balances
  • More than thirty clients? Talk to us.
Start free

Beta is genuinely free — not a trial that expires mid-filing. We'd rather you finish a whole season on it before paying anything. Prices are per workspace and exclude GST.