Every module. Independent by design.
30+ modules across audit, tax, accounting, valuation, advisory and corporate compliance. Each one opens and works on its own — nothing here requires another module to be set up first. Where a client's data is already on file (a Trial Balance, a shareholding register, a related-party list), a module can reuse it instead of asking for it again — the Client Data Hub, not a forced integration.
Every module below is standalone-capable and connects through the Client Data Hub only when you ask it to. That applies to all of them, so it is not repeated on each one.
Tax Computation7
Depreciation (Tax)
Schedule 2 pools, absorption tranche from the acquisition month, repair-ceiling and de-minimis write-off, negative-base gain.
Salary & TDS
Employee-wise annual computation — both retirement-deduction limbs, insurance caps, monthly withholding for remaining months.
Personal Income Tax
Individual/couple computation across the full slab structure, with the standard deductions and rebates applied in order.
Business Income Tax
Book profit to taxable income line by line — disallowances, the depreciation swap, loss utilisation, credits.
Fees & Interest
Statutory fee and interest computation, each with its basis spelled out rather than a single bundled number.
TDS / Withholding
Payee-wise withholding register across categories, ceilings and exemption certificates.
VAT Return
Output/input reconciliation, credit carry-forward, and the return-ready summary by tax period.
Accounting6
Financial Statements
Balance sheet, P&L and notes generated from a validated Trial Balance — not typed twice.
Fixed Assets
NFRS-aligned asset register with net book value, additions, disposals and accumulated depreciation, class by class.
Inventory (NAS 2)
Costing method by item (weighted average or FIFO), NRV comparison, and the write-down journal where required.
Loan & EMI
EMI or equal-principal schedules, moratorium with capitalised interest, and the resulting journal entries.
Lease (NFRS 16)
Right-of-use asset and liability at present value, both payment timings, period-wise unwinding.
Government Grants
Grant recognition against the related expenditure or asset, matched to the accounting period it relates to.
Advisory & Valuation5
Business & Share Valuation
NAV, earnings-multiple and DCF approaches from the same underlying financial data — not a separate spreadsheet model.
Due Diligence
A quality-of-earnings bridge and a structured findings register, cross-linked to the audit and tax modules rather than duplicating them.
Financial Projection
Multi-year projections built on documented assumptions, not a black-box growth rate.
Capital & Debt Advisory
Financing-structure comparison and a Debt vs Equity funding analyzer for a specific capital raise.
FDI Structuring
Foreign investment structuring, approval-route identification and the supporting documentation checklist.
Audit & Assurance5
Statutory Audit
Materiality, risk assessment, sample sizing and a full completion checklist in one working file.
Internal Audit
Risk-based planning, control testing (RACM) and a tracked findings register through to closure.
Auditor's Report
Report drafting against the applicable reporting framework, with the opinion basis carried through from the working papers.
Audit Execution
Sampling, substantive testing (vouching, confirmations, reconciliations, cut-off), analytical review and going-concern checklists — alongside Statutory and Internal Audit, not instead of them.
Forensic Audit
Benford's Law, duplicate and round-number screens, related-party and journal-entry anomaly detection, and a Beneish M-Score screen.
Corporate, Practice & Transfer Pricing7
Transfer Pricing
Related parties, the transaction register, FAR analysis, method selection, benchmarking and adjustment exposure across Nepal, India and UAE.
Corporate Advisory
Shareholding structure, capital events, board and shareholder resolutions, and a company-law compliance checklist.
Business Advisory
Profitability by product/customer/branch, cost-plus pricing, budget vs actual, and a business-model canvas.
IPO Advisory
SEBON eligibility checklist, restatement analysis, peer comparison and pricing analysis — cross-linked to Due Diligence and Valuation.
Tax Advisory
VAT/TDS reconciliation, deferred tax provisioning, minimum-tax checks and a tax notice/appeal case register.
Accounting Automation
Trial balance diagnostics, tailored accounting policies, cash flow statements and year-end closing checklists.
Practice Management
Client onboarding, conflict checks, engagement letters, staff assignment and time budgets — the firm's own operating layer.
How the connection actually works
Nothing computes silently in the background. Reusing shared data is always a visible, dismissible offer — accept it and the figure is copied in as an ordinary, independently editable value, tagged with where it came from and what version it was pulled at. The source can change later without silently rewriting what a preparer already reviewed; the module simply shows that a newer version exists.