For In-House Accountants

Close the books at 6 PM.
Not 10 PM.

Stop manually tallying crumpled paper receipts against endless bank statement PDFs. BBS automates your Day Book, Expense ledgers, and Bank Reconciliation so you can go home on time.

Download Accountant Trial

The Ultimate Accounting Toolkit

Bank Reconciliation

Drag & drop your bank PDF. BBS auto-matches UPI payments to invoices instantly.

Day-End Register

Blind-closeout forcing cashiers to count cash before seeing the system expected total.

Expense Tracking

Log petty cash, vendor payments, and operational expenses neatly categorized.

Ledger Management

Maintain perfect party-wise ledgers for Accounts Receivable/Payable.

P&L Statements

Generate accurate Profit & Loss statements at the click of a button.

GST Auto-Compute

CGST, SGST, IGST calculated accurately based on party state codes.

The Accountant's Nightmare

Manual UPI Reconciliation.

When a store does 500 UPI transactions a day, matching each ₹150 PhonePe entry in the bank statement to a specific invoice number is a form of torture. It takes hours of highlighting rows in Excel.

BBS's Dynamic UPI QR solves this. We log the exact UTR number at the time of checkout. When you upload your bank PDF, BBS matches 500 transactions in 3 seconds.

Accounting Nirvana

  • Zero Suspense Account entries.
  • Auto-generate Payment Receipts for debtors.
  • Manage multiple banks and cash registers separately.
  • Clean Trial Balances ready for CA export.

Make your life easier.

Convince the owner to switch to BBS and get your evenings back.

View Pricing & Plans