PDF to Excel — Major Banks
Work with PDF and image bank statements and convert usable data into Excel.
25+ practical office automation tools for Tally, Excel, audit, banking and compliance — with raw source code included for customisation.
Built for accountants, finance teams, auditors, consultants and office professionals who want faster work without sending confidential data to AI services.
Convert business data into visual dashboards and useful management insights.
Work with PDF and image bank statements and convert usable data into Excel.
Export Day Book and Ledger Balances into structured Excel outputs.
Run 60+ practical audit checks directly on Tally data.
Identify payment timelines and review MSME-related outstanding exposure.
Move structured Excel data into Tally workflows more efficiently.
Speed up ledger comparison and matching work with one-click utilities.
We have pulled out the most commercially useful tools from the supplied code library so buyers can immediately understand the value inside the toolkit.
26AS → Excel → Tally reconciliation with a difference finder.
Match audited balances against new Tally opening balances quickly.
Analyse aged receivables with a detailed outstanding breakdown.
Reconcile stock data between audited records and current Tally data.
Extract monthly balances and turn them into useful visual charts.
Verify and validate bank interest calculations directly in Excel workflows.
Across Tally automation, dashboards, Excel/VBA and Windows utilities.
Financial and client data is sensitive. This toolkit is designed around local processing so routine automation can happen without uploading office data to AI platforms.
Your working files remain on your own system for the offline tools included in the toolkit.
Useful for teams that want to reduce unnecessary external sharing of client and business data.
Raw source code is included so you can customise, extend and adapt tools for your own workflows.
Use it for your own office, customise the code, and adapt it for your client workflows.
The toolkit is positioned around offline/local workflows. The supplied tools should be reviewed individually before deployment, especially if you add third-party APIs or cloud integrations during customisation.
Yes. Raw source code is included so you can adapt workflows, interfaces and logic for your own requirements.
The offer states that you can customise and resell to clients. Any third-party libraries or components remain subject to their own licences.
No. The workflows can also be useful for accountants, finance teams, auditors, consultants and businesses working with Tally and Excel.
The package highlights 25+ tools, including bank statement conversion, Tally-to-Excel, Excel-to-Tally, auditing checks, MSME payment checks, ledger matching and Tally dashboards.