IMS Reconciliation with Books View in TallyPrime
TallyPrime updates can make GST reconciliation easier by giving businesses a clearer way to compare information available through IMS with their accounting books.
What this helps with
- Reviewing purchase-related GST information against books
- Identifying differences that need attention before filing
- Giving accounts teams a clearer reconciliation workflow
What businesses should know
Reconciliation is still a review process. Users should verify transaction details, tax treatment and source documents before accepting or acting on differences.
Why staying updated matters
GST workflows change over time. A current TallyPrime release and active eligible TSS help businesses access the latest supported statutory and product improvements.
ASAPTech can help evaluate the requirement and suggest the most suitable TallyPrime, TDL, integration or infrastructure approach without overcomplicating the workflow.
Discuss Your RequirementThis page gives a business-level overview. For the latest screen-by-screen instructions and release-specific details, refer to the official TallyHelp documentation.
Read the official TallyHelp guide →