Tools & Pricing

Built by a CA, for CAs. No software to install, no logic to chase — just clean output, every time.

Current Toolset

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GSTCompile Pro

GST JSON to Excel Compiler — the tool thousands of CAs needed

Converts GSTR-1 & GSTR-2B JSON into a clean, formatted Excel file
Runs entirely in your browser — no installation, no setup
Structured, formatted output — no manual cleanup needed
Processed securely — maintaining client confidentiality
Easy to use for reconciliation purposes
Saves hours of manual data entry every month

How It Works

1
Download JSON from GST Portal
2
Upload to GSTCompile Pro
3
Get clean Excel file
4
Data discarded after processing
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TDSCompile Pro

TDS Conso File Compiler — consolidate 26Q & 24Q TRACES files into one audit-ready workbook

Processes up to 8 TRACES conso files, generates two output Excel files with reconciliation
Runs entirely in your browser — no installation, no setup
Generates partywise and quarterwise TDS deduction for all quarters for easy reference
Automatic challan-to-deductee reconciliation, flagged for review
Audit-ready Clause 34(A1) & 34(b) sheets, plus a Salary Annexure II sheet auto-reconciled across all quarters filed
Processed securely — maintaining client confidentiality

How It Works

1
Download Conso File from TRACES
2
Upload to TDSCompile Pro
3
Review the reconciliation check
4
Download consolidated Excel
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26AS Compile Pro

26AS to Excel Compiler & Books Reconciliation — clean TDS-credit summaries, with entry-wise reconciliation against your Tally books

Converts your 26AS TRACES file into a clean, ready-to-use Excel summary
Runs entirely in your browser — no installation, no setup
Add your Tally books and get a full entry-wise reconciliation against 26AS — automatically
Every mismatch flagged and explained, so nothing slips through manually
Processed securely — maintaining client confidentiality
Saves hours of manual data entry every month

How It Works

1
Download 26AS .txt from TRACES
2
Upload to 26AS Compile Pro
3
Add Tally books data (optional)
4
Download reconciled Excel
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GST Purchase Register

Tally Day Book & Masters to GST Purchase Register — GSTIN-matched, flagged, and audit-ready

Converts your Tally Day Book + Masters exports into a clean, GSTIN-matched GST purchase register
Processed securely — maintaining client confidentiality
Automatically flags vendors with no GSTIN on record in Tally Masters
Flags vouchers with no bill/invoice reference found in the Day Book export
Per-voucher balance sanity check (Taxable + GST − TDS − Round Off vs Party Amount)
Built specifically for Tally's export format — for Tally users only

How It Works

1
Export Day Book & Masters from Tally (Excel)
2
Upload to GST Purchase Register
3
Review GSTIN match & data-quality flags
4
Download the styled Excel register
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GST 1 Reco

GSTR-1 vs Sales Books Reconciliation — GSTIN, invoice number, taxable value and tax, line by line

4-tier matching cascade — GSTIN, then invoice number, then taxable value, then tax
Automatically excludes reverse-charge invoices before matching, not after
Party-wise GSTIN summary — links a party billing under multiple GSTINs automatically
Handles multi-rate sellers with split CGST/SGST/IGST ledgers without manual workarounds
Processed on a secure server — files are reconciled and discarded, never stored
Every exception sorted into its own labeled sheet — Amount Mismatch, GSTIN Mismatch, Only in Return, Only in Books

How It Works

1
Download GSTR-1 JSON from the GST portal
2
Upload alongside your Sales Books (Excel)
3
Confirm the auto-detected column mapping
4
Download the styled reconciliation Excel
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GST 2B Reco

GSTR-2B vs Purchase Books Reconciliation — GSTIN, invoice number, taxable value and tax, line by line

Same 4-tier matching cascade as GST 1 Reco, applied to GSTR-2B against your Purchase Books
Flags ITC at risk — invoices in Books but not yet filed by the supplier in 2B
Party-wise GSTIN summary — links a supplier billing under multiple GSTINs automatically
Handles multi-rate purchases with split CGST/SGST/IGST ledgers without manual workarounds
Processed on a secure server — files are reconciled and discarded, never stored
Every exception sorted into its own labeled sheet — Amount Mismatch, GSTIN Mismatch, Only in Return, Only in Books

How It Works

1
Download GSTR-2B JSON from the GST portal
2
Upload alongside your Purchase Books (Excel)
3
Confirm the auto-detected column mapping
4
Download the styled reconciliation Excel

Simple, transparent pricing

Annual subscription. Access all included tools for a full year. No hidden fees.

Basic
899
per tool / year
  • Pick any tool(s) — ₹899/year each
  • 1 user account
  • Unlimited monthly uses
  • Email support
  • All future tools included automatically
  • Priority support
Get Started
Enterprise
4,999
per year
  • All current & future tools
  • Up to 3 user accounts
  • Unlimited monthly uses
  • Priority email + WhatsApp support
  • All future tools included automatically
  • Priority support — fastest response
Contact Us

All plans include a 7-day refund policy. Payments currently via UPI / Bank Transfer — write to support@pgtaxkraft.com and access is granted manually after payment confirmation.
GST Invoice provided for all purchases.

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Your client data is handled with care

Your GST JSON or TDS conso file is sent securely to our server only to generate your Excel report — it is never stored, logged, or kept after your file is created. Nothing is shared with any third party. Once your download completes, the data is gone from our systems.