Bank Statement to Tally Importer

Bank Statement to Tally Importer

This tool converts exported bank statement CSV files into Tally Prime XML import format. It’s for accountants and businesses who manually enter bank transactions, saving hours of data entry. It handles multiple bank formats and maps transactions to ledger accounts. Features Parse CSV bank statements from major banks (HDFC, ICICI, SBI, etc.) Map CSV columns to Tally voucher fields (date, narration, amount, type) Generate Tally-compatible XML files for direct import Configurable ledger account mapping for debits and credits Handle multiple transaction types (payment, receipt, contra, journal) Usage import bank_to_tally bank_to_tally....

<span title='2026-03-27 00:00:00 +0000 UTC'>March 27, 2026</span>&nbsp;·&nbsp;OddShop
1 Year Synthetic Bank Transaction Data

1 Year Synthetic Bank Transaction Data

Usage Download CSV: oddshop.work/downloads/synthetic-bank-transactions-1yr.zip Requirements Python 3.8+. Install dependencies: pip install -r requirements.txt Download Buy for $39 → Buy once, download immediately. ZIP includes the full script, README, and usage examples. License Personal & Commercial Use. You may use this tool in your own personal and commercial projects. Redistribution or resale of the source code is not permitted.

<span title='2026-03-20 00:00:00 +0000 UTC'>March 20, 2026</span>&nbsp;·&nbsp;OddShop
Synthetic Bank Transaction Generator

Synthetic Bank Transaction Generator

Generates synthetic bank transaction records with realistic amounts, dates, merchant categories, and account details. Perfect for developers building financial applications who need test data without using real customer information. Outputs to CSV, JSON, or Excel formats. Features Generate transactions with realistic amounts following banking patterns Create multiple account types with different spending behaviors Include merchant categories like groceries, utilities, entertainment Control date ranges and transaction frequency parameters Export to CSV, JSON, or Excel with customizable column formats Usage python generate_transactions....

<span title='2026-03-20 00:00:00 +0000 UTC'>March 20, 2026</span>&nbsp;·&nbsp;OddShop
Bank Transaction Reconciliation Tool

Bank Transaction Reconciliation Tool

This tool automates financial reconciliation for developers and small businesses. It compares exported bank statement CSVs with exported QuickBooks or Xero transaction data, flagging mismatches and generating a detailed report. Saves hours of manual spreadsheet work. Features Load and parse bank statement CSV exports Load and parse QuickBooks/Xero transaction CSV exports Fuzzy match transactions by date, amount, and description Generate reconciliation report with matched and unmatched items Export results to a clean, formatted CSV for review Usage reconcile --bank bank_statement....

<span title='2026-03-16 00:00:00 +0000 UTC'>March 16, 2026</span>&nbsp;·&nbsp;OddShop