Built for Indian CA firms India-specific statutory checks Secure online firm portal

Reconciliation and transparent review

From Tally books to cleared exceptions — without changing how you audit.

AuditAudire helps chartered accountancy firms import Tally data, apply transparent India-specific checks, reconcile bank, GST, and TDS records, and document exceptions with a clear audit trail — while keeping the workpapers and methodology you already use.

75+
Statutory checks
19
Reconciliation types
3
Engagement presets
1
Active firms

One engagement view for documents, review, reconciliation, and client correspondence

Tally exports
Bank statements
GST returns
TDS / Form 26AS
Spreadsheets

Why firms choose AuditAudire

Focused depth on scrutiny and reconciliation — designed to complement, not replace, your statutory reporting workflow.

Transparent scrutiny

Every exception is tied to a clear rule, ledger entry, and supporting detail your team can review, document, and sign off.

Reconciliation at the centre

Dedicated workflows to match books with bank, GST, and TDS records, with one place to review and resolve differences.

Fits your methodology

Works alongside your SA workpapers and firm templates. No need to replace the statutory tools you already rely on.

Structured client collaboration

A secure portal for clients to submit books and answer audit queries — without scattered email attachments.

What the platform delivers

Document intake, statutory review, reconciliation, and exception closure — organised by engagement.

Tally-led intake

Import Tally exports and collect missing schedules through the client portal.

75+ India-specific checks

Cash limits, Section 43B, 269SS/269T, related party, ageing, inventory, GST, and TDS patterns.

Statutory scrutiny packs

Tax audit, GST review, and CARO-focused presets tailored to each engagement type.

Cross-source reconciliation

Compare ledger data with bank, GST, and TDS sources when both sides are available.

Findings and follow-up

Assign exceptions, track client responses, and monitor closure through to sign-off.

Form 3CD finding support

Export identified issues for tax audit documentation — not a complete Form 3CD preparation tool.

How AuditAudire fits your practice

A clear view of what AuditAudire delivers — and what your firm should continue handling with your existing statutory tools and methodology.

Area Typical full audit platform AuditAudire
Schedule III / full financial statements Core capability Not included — continue with your existing FS process
Complete Form 3CD report Automated annexures and report drafting Finding export for documentation support only
Ledger scrutiny Automated sampling or opaque risk scores Transparent rules with ledger-level support
Bank / GST / TDS matching Often a secondary feature Primary focus with dedicated reconciliation workflows
SA workpapers and firm methodology Built-in templates and programmes Bring your own — we do not replace them
Working with Tally data Often requires desktop add-ons Standard Tally export upload and secure client portal

How your team works in AuditAudire

From receiving books to closing review points in four straightforward steps.

Step 01

Collect

Receive Tally exports from your team or invite clients to upload books and schedules through the secure portal.

Step 02

Review

Apply the scrutiny pack suited to the engagement and run checks once documents are in place.

Step 03

Reconcile

Match bank, GST, and TDS records and review differences in a single, structured view.

Step 04

Close

Clear exceptions, issue client queries, and retain documentation for file review and tax audit support.

Plans for growing firms

Begin with a trial and move to a paid plan when your team is ready.

Register your firm

Free Trial

Trial
Free

14-day trial · 5 users · 2 clients

14-day trial for up to 2 company audits so firms can evaluate the platform before moving to a paid plan.

Start trial

Starter

₹18,000

yearly billing · 5 users · 25 clients

Annual starter plan for CA firms with a controlled client cap and core onboarding support.

Choose plan

Scale

₹78,000

yearly billing · 40 users · 300 clients

Annual scale plan for mid-sized CA firms managing broader Tally audit operations.

Choose plan

Frequently asked questions

What CA firms typically ask before adopting audit review and reconciliation software.

Many products are built for end-to-end statutory delivery — financial statements, complete Form 3CD, and SA workpapers. AuditAudire concentrates on Tally-based review, transparent statutory checks, and bank, GST, and TDS reconciliation, so it sits alongside the tools and methodology your firm already uses.

No. Your team can upload standard Tally exports or ask clients to submit documents through the secure portal. Everything runs in the browser — no separate desktop installation is required.

No. The platform highlights items for your team's attention with supporting detail. Partners and managers remain responsible for review, documentation, and final sign-off on every engagement.

After registration, create an engagement, upload a Tally export, and begin review the same day. Our team can guide you through the first setup if needed.

Ready to strengthen review and reconciliation?

Keep your methodology. Document every exception with the clarity and evidence your file reviewer expects.