Practical walkthroughs for every key workflow in iAccounting โ from setting up your company to filing GSTR-3B, scanning bills with your phone, and reconciling bank statements.
Sign-up, GSTIN, financial year, opening balances, invoice branding โ 10-minute setup.
Built-in roles, custom permissions, approval workflows, audit trail, 2FA.
Migrate ledgers, parties, stock, vouchers from Tally in 15 minutes.
Auto-populate B2B, B2C, CDNR, HSN summary; push to portal in one click.
Auto tax compute, 2B-reconciled ITC, RCM, cash challan, books auto-posted.
Match purchases against 2B, resolve 5 buckets, follow up vendors, track Rule 37.
Enable API access, verify the OTP on your mobile, auto-fetch 2B and match every invoice against your books.
Stock out and output GST, then the IRN with signed QR and the e-Way Bill โ every step, both routes.
Nine automatic checks on your books, ITC you're missing, filing deadlines, and supplier GSTIN health. With screenshots.
Auto IGST/CGST/SGST, e-invoice IRN, e-way bill, branded PDF, WhatsApp share.
Upload PDF/CSV statements or live feed. Auto-match, BRS-ready, multi-bank.
AI extracts vendor, GSTIN, items, taxes. Bulk scan, email forward, WhatsApp.
PDF, Excel or passbook photo โ every row becomes a Receipt/Payment/Contra voucher, ledgers suggested.
Supplier, customer, loan or credit-card statement of account โ vouchers, with the contra ledger worked out.
Connect to a running TallyPrime or ERP 9 over port 9000 โ pull the company in or push it back, no XML files.
Employee salary structures, PF/ESI/TDS maths explained, monthly preview and one-click salary voucher with undo.
Fuel, newspaper, courier, electricity โ photograph any bill and AI drafts the Payment voucher. Desktop + Android app.
Stock updates itself, Input GST recorded for ITC, handwritten bills supported. Desktop, Android app and manual.
Keyboard-fast counter billing and barcode billing on the Android app, with thermal receipts. With screenshots.
13-point closing checklist with Dr/Cr guidance, automatic WDV/SLM depreciation, tax provision and a cash-flow audit.
Match the Income-Tax Annual Information Statement against your books โ unbooked income and missing TDS credit, before you file.