
Scotch serves as an all-encompassing operating system uniquely designed for liquor retailers, merging liquor-specific point of sale (POS), payment processing, back office operations, inventory oversight, ordering, receiving, analytics, and customer interaction tools into a unified platform. Unlike standard POS systems, Scotch caters to the distinct operational requirements of bottle shops, wine sellers, beer distributors, and liquor establishments by incorporating features such as case breaks, distributor invoice management, and the ability to handle thousands of SKUs from various suppliers. It ensures compliance with age verification, supports offline transactions, and offers real-time inventory monitoring. By optimizing transaction processes, this POS system empowers staff to finalize sales rapidly, enroll customers immediately, oversee rewards initiatives, manage split payments, secure transactions, and maintain a steady customer experience even during internet disruptions. Additionally, Scotch autonomously tracks parent-child inventory relationships, allowing retailers to sell any quantity—whether a single bottle, a six-pack, or multiple cases—while automatically updating related inventory types without requiring manual input or time-consuming end-of-day reconciliation. This streamlined approach significantly improves the shopping experience for retailers and customers, fostering better engagement and satisfaction. As a result, Scotch stands out in the market by not only enhancing operational efficiency but also contributing to a more enjoyable retail environment.
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FISPAN transforms how banks and businesses connect by embedding secure banking services directly inside ERP and accounting systems. As a leader in embedded ERP banking, FISPAN enables seamless connectivity between Tier 1 banks (across the US, Canada, and UK) and NetSuite, Sage Intacct, Workday, Microsoft Dynamics 365 Business Central, QuickBooks, and Xero.
Finance teams can automate accounts payable, accelerate accounts receivable, access near real-time bank feeds, initiate payments, manage multi-entity cash positions, and streamline reconciliation, all without ever leaving their ERP. Secure API integrations replace manual file uploads and outdated formatting processes, ensuring accurate, reliable transaction data flows directly into the ERP.
The result: improved cash visibility, reduced operational risk, faster financial workflows, and a modern banking experience built directly inside your ERP or accounting software.
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Taxbona
Filing your GST returns has reached a new level of convenience! With a simple click to upload, the software manages the entire process, removing the hassle of manual data input. You can effortlessly transfer data to and from your existing accounting software with just a button press. All GSTR filings, from GSTR1 to GSTR9, can be completed on a single platform, allowing for error validation and mismatch detection before any submissions are made. It becomes easy to find and align invoices from various timeframes, enabling you to reconcile your records monthly, quarterly, annually, or for the whole financial year. The tool presents a summary of mismatches, categorized by supplier and invoice, which provides a clear side-by-side comparison of the corresponding items. Users have the option to ignore minor discrepancies, employ pattern-based matching for invoice numbers, and produce Excel reports on mismatches, in addition to viewing or converting GSTR-2A JSON files. This platform also supports the management of multiple GSTINs, each with a dedicated dashboard, facilitating direct report submissions to GSTN through API integration. You can benefit from automated reconciliations for both monthly and annual invoices, automatic validations for taxes, and the peace of mind that comes with accurately claiming input tax credits while ensuring timely filing of your GST returns. In summary, this all-encompassing system significantly simplifies the entire GST compliance journey for your organization, making it both efficient and user-friendly. Furthermore, its intuitive interface ensures that even those new to GST compliance can navigate the process with ease.
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JioGST
JioGST facilitates the filing of the GSTR-3B form, a temporary return established by the Government to be utilized until the completion of regular returns. This particular form is intended for taxpayers required to submit GSTR-1, GSTR-2, and GSTR-3; however, it excludes those categorized as composition dealers, non-resident taxable entities, Input Service Distributors (ISD), as well as those subject to Tax Deducted at Source (TDS) and Tax Collected at Source (TCS) in e-commerce activities. Taxpayers may adjust the details reported in GSTR-3B when filing their GSTR-1 or GSTR-2. After submission, the data from GSTR-1 and GSTR-2 will be compared against the already submitted GSTR-3B, leading to either refunds or additional payments based on any tax discrepancies, where taxpayers are liable for interest on any underpayment but will not incur penalties or late fees for such variances. Additionally, any overpayment of tax will be applied as a credit towards the next month's return, allowing taxpayers to effectively manage their tax responsibilities. Altogether, JioGST simplifies compliance, making it easier for businesses to adhere to tax regulations, ultimately enhancing their operational efficiency and financial management.
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