Ledgers, GST returns, TDS/TCS, balance sheet and P&L — built into your dye house software and tied to the cost of every batch.
Most dye houses keep production in one place and accounts in another. Here they're the same system — so cost per kg, GST and cash all reconcile without re-keying.
Chart of accounts, journals, general ledger and trial balance — proper double-entry, not a cashbook.
GSTR-1 and 3B summaries plus HSN reports generated straight from your invoices.
Deduction entries with sections and rates that flow into ledgers and returns.
Real-time financial statements in the format your CA expects — export anytime.
Batch costs and expenses post to the ledger, so production reality reaches your accounts.
Bank reconciliation, expense tracking and credit limits keep cash under control.
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