Owner-friendly reports
Organise available sales, outstanding, party, or inventory information into clear dashboards. Define the source and calculation for each figure.
Tally & business reporting
Keep your accounting workflow. Get a clearer view of the business.
Discuss this solutionThe problem worth solving
An owner should not need a fresh export or a call to the accountant for every question. At the same time, changing the accounting system may create unnecessary disruption.
What we can build around it
Organise available sales, outstanding, party, or inventory information into clear dashboards. Define the source and calculation for each figure.
Bring available ledger and outstanding information into a useful account-follow-up view, with access limited to the right people.
Assess how each Tally company can be identified, accessed, and refreshed. Keep company boundaries visible when reviewing figures.
Show the last successful sync and unavailable data. Design around connectivity and the machine running Tally.
From discussion to daily use
Available reports depend on Tally version, configuration, permissions, and integration method. A local connector may be required. Invoice creation, write-back, and payment actions are separate scopes; read-only reporting does not imply those capabilities.
Before you decide
No. A reporting layer can sit alongside Tally, with accounting work continuing in the existing system.
Available reports must be confirmed from your setup. We agree the fields and reconcile sample outputs before promising a dashboard.
Refresh frequency depends on the integration and connectivity. A last-sync indicator helps users judge how current the information is.
Connected possibilities
Your next step
Tell us what needs to change. We’ll help you find a practical starting point.