Single Platform For The Whole Set Of Books

Pricing

Priced Per Set Of Books

One price for the accounting, the compliance and the Tally sync. No module you have to buy again later, and no charge for letting a client read their own ledger.

Solo

A sole practitioner or a small practice, a handful of clients.

₹999
per firm / month
  • Up to 10 client businesses
  • Two-way Tally sync + reconciliation certificate
  • Full accounting, GST and TDS
  • Bank Crusher and Invoice Crusher
  • Client portal
  • Approvals and audit pack
Book A Walkthrough
Most firms
Practice

A working practice — a team, a client list, and a month-end that has to close.

₹2,999
per firm / month
  • Up to 50 client businesses
  • Everything in the tier above
  • Client portal — clients read their own ledger
  • Approvals with a full audit pack
  • Report builder, saved and shared across the firm
  • Priority support
Book A Walkthrough
Scale

A larger practice, or one with unusual requirements.

Talk to us
 
  • Unlimited client businesses
  • Everything in the tier above
  • IP allowlist and access policy per business
  • Onboarding and migration run with you
  • A named person who knows your practice
  • Data-residency terms if your engagement needs them
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In every plan, including the smallest
  • Two-way Tally sync
  • The reconciliation certificate
  • Hash-chained audit trail
  • Period locks that refuse
  • Every standard report
  • Full export, any day
  • Two-factor authentication
  • Server-side tax computation
  • Support from people who file returns

What Is In Each

Every row below is built and shipped today. Where a row is not ticked it is a matter of plan scale, never a feature that does not exist.

CapabilityStarterGrowthEnterprise
Getting your books in
Two-way Tally syncMasters, vouchers and balances, both directions, on any day.✓✓✓
Reconciliation certificateLedger-by-ledger proof the books tied after every sync.✓✓✓
Bank CrusherA statement in any format becomes reconciled entries.✓✓✓
Invoice CrusherA photographed bill becomes a draft purchase voucher.✓✓✓
Bulk importMasters and vouchers from spreadsheet templates.✓✓✓
Accounting
All voucher typesSales, purchase, payment, receipt, journal, contra, notes — one engine.✓✓✓
Sales and invoicingRaise, print, email, track what is outstanding.✓✓✓
Purchases and billsWith the TDS section decided at the bill.✓✓✓
InventoryItems, units, godowns, stock adjustments.—✓✓
Multi-godownStock held and moved across locations.—✓✓
Statutory
GSTR-1 and 3BPrepared from the books, not assembled separately.✓✓✓
2B and IMS reconciliationSupplier-wise, four outcomes, ITC at risk in rupees.✓✓✓
e-Invoice (IRN)From the sales voucher, with acknowledgement and QR stored.✓✓✓
TDS and TCSSections at entry, thresholds per deductee, challans.✓✓✓
TDS certificatesIssued to the deductee, available in the portal.—✓✓
Control
Audit trailHash-chained and not disableable, per the MCA mandate.✓✓✓
Period locksRefuse the back-dated insert rather than warn about it.✓✓✓
ApprovalsNothing posts until the right person has seen it.—✓✓
Approval audit packThe evidence behind every approval, downloadable.—✓✓
Two-factor and lockoutTOTP, automatic lockout, full security event log.✓✓✓
IP allowlistRestrict access to your own network.——✓
Seeing it
Standard reportsTrial balance, P&L, balance sheet, ageing, stock — all drill to voucher.✓✓✓
Report builderChoose columns, group, filter, save and share.—✓✓
Client portalClients read their own ledger, invoices and certificates.—✓✓
Leaving
Full exportMasters, vouchers and balances, in a format Tally reads.✓✓✓
Erase on requestThe business and its schema, gone.✓✓✓

Before you ask

The Honest Version

Accounting software is usually sold by hiding the cost of leaving. The data comes in easily and goes out badly, so by year three the price is whatever they say it is.

Export is therefore not a feature on this page — it is in every plan, on any day, in a format Tally reads. If you decide against us in month four, you leave with your books. That constraint is deliberate: it means we have to keep the product worth paying for rather than merely difficult to leave.

The test we would rather you ran

Bring a stack of vouchers and time entry against Tally. If it is slower, nothing on this page matters. Thirty minutes on your own data settles it either way.

Pricing Questions

What happens if we stop paying?
You keep the ability to export. Masters, vouchers and balances come out in a format Tally reads. Books do not become hostage to a subscription — the export path is the same one you would use on any other day.
Is there a setup or migration fee?
No — there is no setup or migration fee during early access, and migration is run with you either way, and the reconciliation certificate proves the books tied before anyone pays for anything.
Can we run Tally alongside for a while?
Yes, and we recommend it. Move one client or one company file, keep Tally running, file from whichever you prefer for a month, then compare. A firm with forty clients should never test a migration on forty clients.
Do you charge per user?
No — a plan covers the business (or the firm), not seats. What is settled: a client’s access to their own portal is never charged as a user.
What counts as one business?
One set of books — one GSTIN, one trial balance. A group with three entities is three businesses, and they sit under one login.
Is there a free trial?
Yes — thirty days on any paid plan, and Starter stays free. Even before that, the walkthrough runs on your own data, for thirty minutes, with nothing installed. That is a better test than a trial you have to set up yourself.
Do prices change at renewal?
Early-access pricing is locked for twelve months from signup; any later change is announced a full billing cycle ahead.
What is actually not included?
Nothing in the list above is held back as an upsell within a plan. The differences between plans are scale and the control features a larger practice needs — not the accounting.

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