CredInfinite

Accounting & GST compliance that doesn't need a spreadsheet.

Full double-entry accounting: chart of accounts, trial balance, P&L, balance sheet, party ledger and manual vouchers. Plus GSTR-1, GSTR-2B, GSTR-3B, bank reconciliation and Tally sync. All in one place.

File compliance returns from the same system you run your business in.

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GSTR-1/2B/3B
AI reconciliation
ITC auto-matched
Native Tally API
Full double-entry GL

Native Integration

Built for businesses on Tally

CredInfinite connects directly with Tally using native APIs — syncing vouchers, ledgers, purchases, sales entries, GST workflows, and reconciliations automatically.

What syncs automatically

Vouchers & entries

Sales, purchases, payments, receipts — synced in real time

Ledgers & masters

Chart of accounts, stock items, and party ledgers

GST returns

GSTR-1 and GSTR-3B data mapped to Tally vouchers

Reconciliation

Bank and ITC reconciliation against Tally books

No manual work needed

No CSV juggling between Tally and GST portal

No manual XML handling for returns

No duplicate bookkeeping across systems

Capabilities

Everything you need

Full accounting, every GST return reconciled, and bank transactions matched — all ready for upload.

Unified GSTR-1

GSTR-1 consolidated from marketplaces (Amazon, Flipkart, Myntra), sales registers, and invoices — one final return with zero duplicate entries.

Native Tally API integration

Connect directly with Tally using native APIs. Sync vouchers, ledgers, purchases, sales entries, and reconciliation workflows automatically.

GSTR-2B reconciliation

Upload GSTR-2B from the GST portal. Automatically identify matched, partial, missing, and unmatched ITC entries before filing.

GSTR-3B pre-fill

GSTR-3B generated from purchase registers and reconciled GST data — including output tax, ITC available, and net payable.

Pre-filing validation

Cross-check GSTR-1 and GSTR-3B before submission to identify mismatches that may trigger compliance notices.

Portal-ready JSON · Coming soon

Generate GST portal-compatible JSON files for GSTR-1 and GSTR-3B with direct filing workflows.

Upload & verify GSTR-2B

Upload GSTR-2B JSON directly from the GST portal and identify unclaimed ITC opportunities across vendor invoices.

Marketplace reconciliation

Automatically reconcile Amazon, Flipkart, Myntra, and Shopify settlement reports with GST and accounting entries.

ITC opportunity tracking

Identify missed input tax credit opportunities across vendor invoices, platform commissions, and reconciliation gaps.

Chart of Accounts & Journal Entries

Full double-entry bookkeeping with customizable chart of accounts, manual journal entries, and auto-posting from expenses, invoices, and ecomm transactions.

Trial Balance & Balance Sheet

Real-time Trial Balance and Balance Sheet with FY selector — view any financial year at a glance. Auto-balanced with clear debit/credit summaries.

Profit & Loss Statement

Period-specific P&L showing income, expenses, net profit, and gross margin. Filter by financial year with instant recalculations.

General Ledger & Party Ledger

Per-account transaction register with running balance. Party-wise ledger with summary cards — opening balance, total debit/credit, closing balance.

Manual Accounting Vouchers

Payment, Receipt, Contra, Debit Note, and Credit Note vouchers with auto-numbering per financial year. Post, draft, and void — with automatic reversal entries.

Bank Reconciliation → Voucher Bridge

Create draft vouchers directly from classified bank transactions. Pre-filled with amount, date, and accounts — review and post at your pace.

Accounting & GST — one platform.

14-day free trial. No credit card required. Full double-entry accounting, GSTR-1/2B/3B, bank reconciliation — all auto-reconciled before you file.

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