Frequently Asked
Questions

Find Solutions to Common Issues Related to taxation - gst reconciliation

FAQs

How do I reconcile GST returns with BUSY software books?

 Reconciliation of GST Return is very important task of Business and tedious same time.
BUSY have a Best in BUSY option available to do Reconciliation of GST Return which helps business in many Ways.
A) No Seperate Cost of GST Renconciliation Software
B) Easy to Use
C) Detailed Report
To...

In GSTR-3B, Input not showing as per the seller data found in GSTR-2B reconciliation

 ITC Tagging
In this, The tax credit is claimed by the recipient based on the sales invoices uploaded by the seller/supplier.
A seller uploads the invoice-wise sales details every month/quarter by the 11th of the subsequent month (or 13th of the month subsequent to the quarter). It depends upon the...

I want to reconcile invoices with the GST portal in BUSY. Where can I find this option?

 To reconcile the invoices with the gst portal in BUSY you need to follow the steps 
Step1 go to administration menu and click on configuration then feature options and select GST VAT option
Step2 Fill gst username and save then open gst portal and click on my profile
and click manage API access option and select 30 days for API access and confirm
Step3 In BUSY go to transaction menu and click on GST misc utilities
Step4 Click on Download GSTR json data and select GSTR 2B 2A which you want to reconcile
Step5 select automatically option for download and select the month to download the json data then a OTP will be generate for the first time submit
the OTP over there and download will be done
Step6 after download GST data Click on Reconcile GSTR data under the GST misc utilities option
Step7 Select reconcile GSTR 2A or 2B data voucher wise or party wise
select the month range and read the options carefully and enable which ever you required and press OK
Step7 In GST reconcilation data the red mark data are missmtch so check The error between BUSY data and json data and reconcile it

How to import purchase data in BUSY for reconcilation with GSTRB

 Here are the steps for import purchase data in BUSY for reconcilation:
Step 1: Go to Transaction Menu
Step 2: Click on Gst Misc. utilities
Step 3: Then click in Download GSTR JSON Data option
Step 4: Then click on Download GSTR2B
Step 5: you will get 2 options to download GSTR data i.e Auto download or Manual download
To Auto Download GSTR-2B files
Step 6: Select Auto Download option here.
Step 7: Then click Download button appearing in front of Month Name
Step 8: Then OTP window appears where you need to specify the OTP received on your registered mobile no.
Step 9: After specifying OTP, GSTR-2B file for that month will be downloaded and Status for that month will be shown as Saved. In the similar manner, you can download files for all the months.
To Download GSTR-2A files manually
Step 10: Select Manaul Option
Step 11: Now, save files for different months by browsing the file path i.e downloaded form Gst Portal
Note : You can Remove or Re-download existing file by clicking on the status of a particular file. On clicking the status, an Overwrite message box appears where you can select the required option.

What reports in BUSY can help me identify differences in filed GSTR v/s books?

 For checking differences between Gstr data and BUSY you can check Reconcile Gstr Data reports in BUSY further find out the steps to check those reports in BUSY 
Step 1: Open the company in BUSY then go the Administration menu and select Configuration.
Step 2: Choose Features and Options and then GST / VAT. Enter your GST portal username in the GST Portal User Name field and save it.
Step 3: Next, open the Transaction menu and select GST Misc Utilities.
Step 4: Choose Download GSTR JSON Data and select Download GSTR-2A or Gtsr2b or as per your requirement
Step 5: Click on the download button along with the month then you will receive an OTP on your registered mobile no and email id, enter that OTP and can download.
Step 6: Now, under the GST Misc. Utilities select the Reconcile GSTR Data option.
Step 7: Chose Reconcile GSTR-2A (Party Wise) / (Vch. wise) as per the requirements or any other report you wants to reconcile as per your requirement .
Step 8: Enter the period and can match your purchases with GSTR-2A.
Note: Please ensure the API access is enabled on GST portal to receive OTP.

I am unable to claim GST input tax credit for a bill that was submitted in February but not on the B list till March. How can I claim it now in June?

 to claim GST input tax credit for a bill that was submitted in February but not on the 2B list till March to claim it now in June,need to follow these steps to resolve the issue:
Step 1: Open the BUSY software and switch FY through F11
Step 2: Go to Transaction Menu
Step 3: Click o GST Misc. Utilities
Step 4: Then click on ITC monthly tagging & open a 2a/2b report and press f4 on that voucher and select the status pending
Step 3: Go to Administration menu, and then Change Financial Year option.
Step 4; Then click on carry pending itc and then choose the current financial year (FY) and swtich FY with new & change
Step 6 : To change the status pending ITC Entries go to the Transacton menu .
Step 7: Click on Gst Misc Utilities option.
Step 8: Select monthly ITC tagging as per GSTR 2A / GSTR 2B
Step 9 : Select Partywise
Step 10 : In report view enable show previous year transaction .
Step 11 : Select the entry and press F4 to change the status,
Make sue you have a latest backup of your data.

Some of my invoices are not reflecting in the GSTR- filing even though they are present in BUSY. Why are these invoices not getting captured?

 If the data on gst portal showing different as per BUSY data,then you need to check that maybe after return filled,data from BUSY has been modified or deleted or any ammnedment made on portal and in BUSY though BUSY ammnedment on portal is not available,for any ammnedments in gst reutrn,you can visit gst portal.In BUSY you can reconcile gst reports with portal data 
And to reconcile gst reports,follow these steps
To do one-by-one or bulk GST reconciliation for a particular month in BUSY, you can follow these steps:
Step 1. Click on transactions.
Step 2 . GST misc utilities
Step 3. First download gstr json data for particular month and Select the Reconciliation option.
Step 4. Choose the desired month for reconciliation.
Step 5. If you want to reconcile one-by-one, select the transactions one at a time and reconcile them by matching the GST amounts.
Step 6. If you prefer bulk reconciliation, you can import the GST data for the selected month and reconcile it in one go.
Step 7. After reconciling the transactions, review the reconciliation report to ensure accuracy.
Step 8. Save the reconciliation report for future reference.

I want to reconcile BUSY data with JSTOR data for a particular month but unable to find the Jameson file. What should I do?

 If the data on gst portal showing different as per BUSY data,then you need to check that maybe after return filled,data from BUSY has been modified or deleted or any ammnedment made on portal and in BUSY though BUSY ammnedment on portal is not available,for any ammnedments in gst reutrn,you can visit gst portal.In BUSY you can reconcile gst reports with portal data
And to reconcile gst reports,follow these steps
To do one-by-one or bulk GST reconciliation for a particular month in BUSY, you can follow these steps:
Step 1. Click on transactions.
Step 2 . GST misc utilities
Step 3. First download gstr json data for particular month and Select the Reconciliation option.
Step 4. Choose the desired month for reconciliation.
Step 5. If you want to reconcile one-by-one, select the transactions one at a time and reconcile them by matching the GST amounts.
Step 6. If you prefer bulk reconciliation, you can import the GST data for the selected month and reconcile it in one go.
Step 7. After reconciling the transactions, review the reconciliation report to ensure accuracy.
Step 8. Save the reconciliation report for future reference.

How do I handle differences between values in sales invoices and values reported in GSTR- on portal?

 If the data on gst portal showing different as per BUSY data,then you need to check that maybe after return filled,data from BUSY has been modified or deleted or any ammnedment made on portal and in BUSY though BUSY ammnedment on portal is not available,for any ammnedments in gst reutrn,you can visit gst portal.In BUSY you can reconcile gst reports with portal data
And to reconcile gst reports,follow these steps
To do one-by-one or bulk GST reconciliation for a particular month in BUSY, you can follow these steps:
Step 1. Click on transactions.
Step 2 . GST misc utilities
Step 3. First download gstr json data for particular month and Select the Reconciliation option.
Step 4. Choose the desired month for reconciliation.
Step 5. If you want to reconcile one-by-one, select the transactions one at a time and reconcile them by matching the GST amounts.
Step 6. If you prefer bulk reconciliation, you can import the GST data for the selected month and reconcile it in one go.
Step 7. After reconciling the transactions, review the reconciliation report to ensure accuracy.
Step 8. Save the reconciliation report for future reference.

What is the process to check if all purchase invoices are entered and available ITC is matching?

 If you want to ensure that the invoices entered in the BUSY and the ITC available on the GST site are the same, you can use the GST Reconciliation option available in the BUSY. Follow the steps given below to use this option:
Step 1: Go to the Administration menu and click on the feature and option.
Step 2: Then, click on the GST /VAT tab and define the GST Portal username there.
Step 3: Go to the transaction menu and click on the GST Miscellaneous Utilities option.
Step 4: Click on the "Download GSTR JSON data" option and download the data for the month you want to reconcile.
Step 5: Then, click on the "Reconcile GSTR Data" option and select either "Reconcile GSTR 2A" or "GSTR2B" depending on which one you want to reconcile.
Step 6: You can compare BUSY and JSON data simultaneously. If there are any missing entries either in the BUSY software or on the site, they will be shown in red. If there are any differences, they will also be shown in color and you can correct them in the BUSY software data accordingly.