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Prabandh Finance

Close the books on real entries, not a reconciliation exercise.

A double-entry general ledger where the balance is enforced by the database itself — an unbalanced voucher cannot be persisted, not merely flagged. Every posting traces back to the document that caused it.

Bought by

CFO · promoter · finance controller

Instead of

Bought instead of Tally or Zoho Books, by companies who need the ledger and the operations in one place

What is inside it

7 capabilities.

Each maps to screens a customer can open today.

01

Double-entry general ledger

Voucher register, journal entries, trial balance that ties. A deferred constraint trigger makes an unbalanced voucher impossible to commit.

02

GST and returns

GSTR-1 with B2B, B2C, CDNR and HSN, GSTR-3B and GSTR-9 — split by place of supply resolved from the GSTIN, so books and return cannot disagree.

03

e-Invoicing

IRN generation with the signed IRP QR printed on the invoice, as Rule 46(r) requires. Cancellation respects the 24-hour IRP window.

04

Schedule III statements

Profit and loss, balance sheet and an Ind AS 7 indirect cash flow, with the data origin stated per line.

05

Fixed assets, both methods

Companies Act Schedule II and Income-Tax block-of-assets in parallel, with a full projected schedule per asset.

06

Notes to Accounts

The 2021 Schedule III disclosures — eleven ratios with variance explanation, receivable and payable ageing, MSMED status.

07

TDS and TCS

Section rate master with effective dating, threshold and catch-up logic, 206AA no-PAN handling, 26Q.

Where Finance stops today

Stated here rather than discovered three weeks into an evaluation.

  • Multi-currency is single-rate; there is no FX revaluation on the payables side.
  • Bank reconciliation is manual matching — there is no auto-suggest and no formal BRS report.
  • Maker-checker exists on journal vouchers only, not across every posting type.

Packaging

Buy it alone, or in a bundle.

Preconfigured for

An industry solution is this product plus preconfiguration — seeded masters, workflows, naming rules, roles and compliance frameworks — so it arrives configured rather than empty.

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