Generate Reports
Last updated
Last updated
Here are the articles in this section:
- Learn how to use this report to analyze differences at a monthly, quarterly or annual level
- Learn how to use this report to compare the ITC reported in GSTR-3B by you with the ITC reflected on the GSTR-2A
- Import GSTR-2A data from the GSTN portal in a single click and access data across months
- Import GSTR-2B data from the GSTN portal in a single click and access data across months
- Use this report to view GSTR-1 status of your suppliers and follow up
- Learn how to get summarized view of your GSTR-1 Rate wise data
- Guide to get summarized view of your Sales HSN data
- Get summarized view of Sales rate wise data
- Learn to get summarized view of your GSTR-1 HSN data
- GSTR-2B provides eligible and ineligible Input Tax Credit (ITC) for each month, similar to GSTR-2A but remains constant for a period and is used for preparing GSTR3B for all GSTINs
- The cash ledger segregates the information head wise such as IGST, CGST, SGST/UTGST, and CESS. Each of these major heads (IGST, SGST, etc.) are further divided into 5 minor heads -Tax, Interest, Penalty, Fees, and Others
- It shows a ledger for all deductions and additions of ITC and reflects the opening and closing balance
: This enables clients to understand the difference in the tax liability which helps clients avoid penalty or Notice from GSTN
: If ITC is claimed in excess, this can be identified here for each month. Thus ensuring that the clients are prepared for any notice that comes their way
- This report can be used to fill Table 10 and 11 of the GSTR-9 Form regarding 'Details of the previous Financial Year's transactions reported in next Financial Year'
- Learn to get summarized view of your multi-month GSTR-3B Filed Report