SALES EDGE ANALYTICS

Streamlined Insights for Profitable growing Traders

In today’s competitive market, having access to precise sales information is crucial for business owners. A comprehensive dashboard enables owners to monitor monthly sales and sales returns effortlessly. By consolidating all necessary financial data into one interface, successful traders are making informed decisions quickly.

Enhancing Control Over Finances

This dashboard provides unparalleled control over credit sales, expenses, and the average product price. With these elements available at a glance, owners can assess their financial health effectively. Understanding monthly fluctuations not only helps in tracking performance but also serves as a foundation for future strategic planning.

Facilitating Quick Decision-Making

One of the standout features of the dashboard is its ability to allow for monthly comparisons between various financial metrics. This essential functionality aids profitable traders in identifying trends, making swift adjustments to their operations, and optimizing overall performance. Whether assessing product profitability or evaluating sales tactics, the dashboard is an indispensable tool for anyone looking to excel in the market.

SMART CASH/BANK RECONCILIATION MODULE

Cash and Bank Reconciliation Module for TallyPrime
In Tally, the flexibility of voucher entry often leads to discrepancies in cash and bank records due to human error. To overcome this, we have developed a smart and efficient Cash and Bank Reconciliation Module that offers real-time control, accuracy, and user accountability—without increasing workload.
🔹 Key Features & Benefits:
Dual Entry Verification
The module introduces a separate Cashier Journal, where cashiers can record all inflows and outflows for any cash or bank ledger. This acts as a second layer of verification against the entries made by the Accountant.
Simplified Entry for Non-Accountants
Designed with simplicity in mind, the cashier can enter total inflows and outflows in one single amount, eliminating the burden of entering every individual transaction. This makes it ideal for users with no accounting background.
Smart Reconciliation Report
The module generates a side-by-side report showing Accountant’s and Cashier’s entries for the selected date or period. Any mismatches are clearly highlighted, helping users quickly identify and correct errors from within the report itself—no need to browse ledgers or vouchers separately.
One-Click Correction
Users can select the mismatched transaction, edit the amount, and save directly from the report, ensuring quick and efficient error resolution.
Flexible and Timely Control
Reconciliation can be done daily, weekly, or monthly, giving businesses full flexibility to ensure books are always in sync with actual cash/bank transactions.
Enhanced Accuracy & Accountability
Reduces the risk of data manipulation or oversight. Managers and business owners gain better visibility into monetary flows and user-wise activity tracking, improving both trust and internal control.

This module is the perfect solution for businesses that want to minimize errors, save time, and ensure financial accuracy—without requiring accounting expertise from every user.

FIXED ASSETS MANAGEMENT

Fixed Assets Management Module – Key Features
📥 One-Click Auto Depreciation
Automatically calculates and posts depreciation entries monthly or yearly.
Supports both Companies Act and Income Tax Act depreciation methods.
📅 Asset Purchase & Capitalization Tracking
Tracks date of acquisition, capitalization, and location.
Links asset purchases directly from vouchers or ledgers.
📊 Asset-wise & Group-wise Reporting
Generates detailed schedules of assets with opening balance, additions, depreciation, and closing balance.
Filters reports by asset group, location, or financial year.
📉 Disposal & Profit/Loss on Sale
Handles asset disposal with calculation of book value and profit/loss on sale.
Automatically adjusts depreciation till the date of sale.
🧾 Supporting Audit & Compliance
Generates asset register and depreciation schedule as per statutory format.
Helps in audit readiness with clean tracking of all changes and movements.
📂 Excel Import for Bulk Asset Entries
Easily import asset details from Excel using a predefined template.
Saves time during initial setup or migration.
🔁 Integration with Journal Entries
Automatically generates journal entries for depreciation, revaluation, and disposal.
Seamless posting into Tally’s accounting ledgers.

Stone Crusher Accounting Solution in TallyPrime

Our comprehensive Stone Crusher Accounting Module for TallyPrime is specifically designed to meet the operational and financial needs of stone crushing businesses. The solution handles the entire workflow—from raw material purchase and electronic weighbridge integration to crushing output, sales billing, and vehicle-wise rent tracking.

Key Features:

  • Vehicle-wise Rent Report to monitor transportation costs.
  • Electronic Weighbridge Integration for accurate, real-time weight capture.
  • Cash Book for daily cash transaction tracking.
  • Payables & Receivables Reports for outstanding party-wise monitoring.
  • Purchase and Sales Reports for performance analysis and GST compliance.
  • Daily Production & Stock Reports to manage inventory and output efficiently.
  • Fully integrated with TallyPrime for seamless accounting and audit readiness.

This module empowers stone crusher units to improve accuracy, reduce manual work, and gain deeper financial insights with minimal effort.

JOURNAL, RECEIPT AND PAYMENT VOUCHER IMPORT

SALES VOUCHER IMPORT

  • ANY VOUCHER IMPORT

Our Voucher Import solution allows you to seamlessly import data from Excel into Tally, saving hours of manual entry. Whether it’s Sales, Purchase, Receipt, Payment, Journal, or Stock Journal Vouchers, our tool supports all major voucher types with full accuracy and validation. It handles large volumes of data, prevents duplication, and ensures compliance with your chart of accounts. We can also customize the import format as per your business structure—making the process smooth, fast, and fully aligned with your internal workflows.

  • INVOICE FORMATS

Our Customized Invoice Formats solution in Tally allows businesses to create professional, brand-aligned invoices tailored to their specific needs. Whether you require GST- VAT compliant formats, multi-language support, or industry-specific details like batch numbers, transport info, or terms & conditions, our solution ensures every invoice is accurate, clear, and client-ready. Designed for easy integration and seamless printing, it enhances both compliance and presentation—saving time and projecting a polished brand image.

  • AUTOBACKUP

Tally is a desktop-based application. The Tally data doesn’t sync with the Tally server. So users need to take manual data backup regularly. Many times users forget to take data backup. Sometimes it may result in data loss. So we have a solution to this problem, which takes data backup Automatically when you quit the Tally application. In case of data loss, you can recover the data till last working day.

  • SALESMANWISE AND AREA-WISE (REGION-WISE SALE)

Our Salesman-wise and Area-wise Sales Reporting solution in Tally provides powerful insights into your sales performance across individuals and regions. Easily track and analyze sales figures by each salesperson or geographical area, helping you evaluate performance, set targets, and identify growth opportunities. The reports are dynamic, user-friendly, and customizable—giving you the clarity needed to make data-driven decisions and improve your sales strategy effectively.

And Many More Customizations – Tailored to Your Business Needs
We specialize in delivering a wide range of Tally customizations designed to match your unique business requirements. Whether it’s invoice formats, MIS reports, region-wise sales tracking, or fixed asset modules—every solution we offer can be further customized to suit your specific processes, workflows, and industry needs. From small adjustments to full-scale automation, we ensure Tally works the way you work. Your business is unique, and with our expertise, your Tally software can be too.