Finance & Accounts

A real general ledger, not a fee cash-book with extra steps.

Every fee receipt, payroll run, and procurement bill posts automatically into one GL. Trial balance, balance sheet, and P&L are live reports, not a month-end reconciliation project.

Live dashboard
FY 2026-27
Revenue
₹ 4.2Cr
Trial balance
Tallied
Period close On track
Full general ledgerMaker-checker vouchersPeriod closeTrial balance / BS / P&LBank reconciliationBudget vs actual
What it covers

Every module posts here — you don't post it by hand.

Fee income, payroll expense, and procurement bills all post into the same ledger automatically the moment they're approved, not re-entered by an accountant at month end.

General ledger

Chart of accounts, vouchers, and ledger entries — a real double-entry GL, not a single-column fee cash-book pretending to be accounting.

Maker-checker vouchers

Every voucher moves through Draft → Submitted → Approved → Posted, with a same-user-can't-approve guard on every entry.

Period close

Month-end and year-end close with pre-close checks, freezing trial balance / balance sheet / P&L into a permanent snapshot.

Bank reconciliation

Bank statement lines matched against ledger entries, so “does our book match the bank” has a real, ongoing answer.

Live financial statements

Trial balance, balance sheet, P&L, cash book, bank book, and day book — computed live from the ledger, not assembled once a quarter.

Budget vs. actual

Budgets tracked per cost centre with variance reporting, so overspending surfaces during the year, not after it closes.

Auto-posting from every module

Fee, Payroll, Procurement, Hostel, Transport, and Library all post directly into this ledger through a shared posting facade — no manual journal entries to replicate what already happened elsewhere.

GST / TDS ready

Tax rate and HSN/SAC master data built in, with e-invoice and TDS-challan support for institutions that need it.

See all 28 modules ▸
FAQ

What finance heads ask first

Do we still need a separate accounting package alongside this?

No — this is a full general ledger, not a fee-collection summary. Trial balance, balance sheet, and P&L are generated directly from it.

How does fee or payroll income actually reach the ledger?

Through a shared posting facade every module calls — a fee receipt or an approved payroll run posts its own voucher lines automatically, idempotently, the moment it's finalised.

Can one person create and approve the same voucher?

No — maker-checker is enforced on every voucher, with a same-user-can't-approve guard, so a single person can't push a voucher from draft to posted alone.

What happens once we close a period?

Pre-close checks run, and the trial balance, balance sheet, and P&L are frozen into a permanent snapshot for that period — later changes don't silently alter a period you've already closed and reported on.

Does this handle GST and TDS for our institution?

Tax rate and HSN/SAC masters are built in, with e-invoice and TDS-challan support for institutions that need GST/TDS compliance beyond basic bookkeeping.

See a fee receipt land in the ledger, live.

30-minute demo — a fee payment, posted to the GL in real time, in front of you.

Request a demo