GSTR-2B Compiler
Upload one file or a whole folder of GSTR-2B data. It's merged, de-duplicated and validated automatically, ready to review or hand off to Tally.
Yukti.dev turns GSTR-2B data, purchase invoices and bank statements into ready-to-post Tally entries — so your team spends less time re-typing and more time reviewing.
Pick a workflow and start today. New automation tools are added as we build them.
Upload one file or a whole folder of GSTR-2B data. It's merged, de-duplicated and validated automatically, ready to review or hand off to Tally.
Review invoice data in an editable grid, map it to the right ledgers, and post straight into TallyPrime through a secure local Bridge.
Automatic categorisation and reconciliation of bank statements against your books.
A growing set of tools aimed at the repetitive parts of accounting work.
Every tool follows the same idea: bring the repetitive work into one automated pipeline, end to end.
Bring in a file, a folder, or connect a data source.
Data is parsed, checked and organised automatically.
You see exactly what will be posted before it is.
One click sends it into TallyPrime, ready for the next step.
Three tools, built to hand off to each other, so nothing gets downloaded, re-uploaded or re-typed along the way.
🔒 Your Tally data stays on your machine, secured — the Bridge only relays what you've reviewed and approved, and never exposes Tally to the open internet.
Every account is authenticated, with admin and staff roles scoped to the clients they should see.
Not a CSV export — vouchers post directly into TallyPrime with full party and GST detail.
Less re-typing and copy-paste, more time for review and client work.
Designed and built from scratch by a CA finalist — every workflow reflects how accounting teams actually work, not something adapted from outside the profession.
Before anything touches Tally, every ledger name is checked against your actual Tally data — not just what's queued on the website. A new party gets a fresh ledger created; an existing one is matched and reused, so you never end up with duplicate or conflicting ledgers cluttering your books. Every run is backed up automatically first, and every create-vs-reuse decision is logged for a full audit trail.
If there's a repetitive, manual process eating into your team's time, tell us about it — we build automation around real workflows, not the other way round.
Every tool on this page is free to use during the early-access period. Once it ends, early firms aren't cut off — you move to a discounted price instead of the regular rate, not free, and the sooner you start, the better that price locks in.
Explore Available Tools