Operating model
Taxora turns the typical CA firm’s monthly GST reconciliation into a repeatable, auditable, file‑based workflow – no portal logins or OTPs required.
Drag‑and‑drop Excel or CSV exports from your accounting software. Field mapping is saved once per client, so future uploads are instant.
Upload the government‑provided JSON or Excel files. Taxora automatically matches invoices by number, date, and taxable amount.
A shared decision desk shows mismatches, missing invoices, and ITC eligibility. Tag each line as claim, hold, or reverse with reasons and risk levels.
Once all decisions are documented, lock the period. Generate client‑ready PDF/XLSX reports, vendor follow‑up lists, and a tamper‑proof audit trail.
Start a free workspace and run your first reconciliation in minutes.
Create Taxora workspace