GSTR-2A & 2B
Reconciliation Made Effortless with WebLedger
Accurate. Rapid. Fully Automated.
How WebLedger Simplifies GSTR-2A & 2B Reconciliation
Dashboard & Reports
Consolidated ITC eligibility overview Matched, unmatched, partially matched invoices Exportable PDF/Excel for audits
AI-Driven Validation
WebLedger executes 100+ checks Invalid GSTIN detection Duplicate invoices HSN & tax inconsistencies Incorrect ITC claims Errors are highlighted instantly — corrected in seconds with guided suggestions.
Auto-Reconciliation
Compare purchase data vs. GSTR-2A & 2B in one view. Discrepancies flagged in real-time — corrected before filing to avoid notices.
Credit/Debit Notes & Amendments
Auto-links adjustments to original invoices, updates ITC, and generates correction-ready files.
Common Reconciliation Challenges — Resolved by WebLedger
Common Issue
- Manual data entry
- GSTIN errors
- Missed ITC
- CN/DN confusion
- Large volume
Traditional Process
- Prone to errors
- Blocks ITC
- Lost claims
- Delay in updates
- Time-consuming
Solution
- Auto-import & map from all sources
- Real-time validation & GSTIN verification
- Auto-flag eligible ITC and mismatches
- Auto-link with original invoices
- Bulk reconciliation in minutes
Accuracy. Compliance. Peace of Mind.
Incorrect filing can result in
Denied ITC for buyers
Mismatched GSTR-3B returns
Audit notices & penalties
WebLedger prevents this by validating entries pre-submission.
Step-by-Step GSTR-2A & 2B Reconciliation
Import invoices or connect accounting system
Auto-classify and validate purchase data
Review B2B, B2C, credit/debit notes, imports, and HSN summary
Correct discrepancies instantly
Generate consolidated ITC reports
Export audit-ready files or share with CA
Track status across multiple GSTINs
Why Businesses Prefer WebLedger for GSTR-1
Ready to Reconcile GSTR-2A & 2B the Smarter Way ?
- No manual reconciliation
- No missed ITC
- No errors or inconsistencies
Frequently Asked Questions
Quick answer to questions you may have.
Why reconcile GSTR-2A & 2B?
To verify purchase data, claim accurate ITC, and avoid penalties due to discrepancies.
What’s the difference between 2A and 2B?
2A is dynamic (updates as suppliers file), 2B is static (snapshot for the month) and used to determine eligible ITC.
How does WebLedger automate reconciliation?
It matches your purchase register with 2A/2B, flags mismatches, and categorizes ITC as eligible, ineligible, or reversed.
Who should use this reconciliation feature?
All GST-registered businesses, SMEs, and CAs managing multiple GSTINs.
How does it save time?
Bulk auto-import and real-time validation eliminate manual matching and error checks.