V2W FinBridge · Zoho Books → TallyPrime

Zoho Books to Tally, automatically, on your schedule.

V2W FinBridge keeps your TallyPrime company up to date from Zoho Books — masters and transactions alike — on the schedule you set, or on demand, as clean, GST-correct vouchers. One way only. No re-typing, no CSV imports, no duplicate entries.

AllModules synced
One-wayZoho Books stays the source
ZeroDouble entry
GSTCorrect by design

How it works

How Zoho Books to Tally sync works

Your team works in Zoho Books. Your CA or auditor works in TallyPrime. V2W FinBridge keeps Tally in step — and it only ever works one way.

Source

Zoho Books

Where your team records sales, purchases and payments.

Sync

V2W FinBridge

Turns every Zoho Books entry into the matching Tally voucher.

Destination

TallyPrime

Always up to date for your CA, GST and audit.

On your schedule, or on demand.

Privacy

Your Tally stays private

Your Tally company stays on your own computer. There is nothing to change in your office network, and your books are never exposed to the internet.

Integrity

Never a duplicate

Every entry is sent once. Re-run a sync or pick up after an interruption, and the same invoice is never posted twice.

Compliance

GST-correct by design

CGST, SGST and IGST are split correctly on every line, HSN/SAC codes are carried through, and ledgers are created in the right groups — ready for your returns.

Zoho Books stays the system of record. Tally is always brought in line — automatically.

One rule, applied to every module, on every run. If the two ever disagree, V2W FinBridge corrects Tally.

What syncs

What syncs from Zoho Books to TallyPrime

  • Invoices Sales, item by item
  • Credit notes Linked to their invoice
  • Payments received Settles invoices
  • Bills The purchase side
  • Vendor credits Purchase reversals
  • Payments made Against their bill
  • Expenses With bank & cash ledgers
  • Journals Manual entries, both sides
  • Item masters Stock items and units
  • Customer masters With addresses & GSTIN
  • Vendor masters With addresses & GSTIN
  • Ledger masters Created in the right order

Customers, vendors, items and ledgers are created in Tally automatically — always before the entries that need them.

Built for your CA

When your CA or auditor works in Tally

Many businesses run day to day in Zoho Books while their chartered accountant keeps the final books in TallyPrime. FinBridge makes that work without double entry.

No more re-typing

Your team enters each invoice and bill once, in Zoho Books. Your CA gets the same entries in Tally without anyone keying them again.

Books that agree

Tally is brought in line with Zoho Books on every run, so month-end, GST and audit figures match.

Ready for year end

Your CA closes the year, files returns and supports audits in the Tally company they already know.

Your data

Your data, under your control

Tally stays private

Your Tally company stays on your own computer and is never opened up to the internet.

Only you control access

You decide which Zoho Books organisation is connected, and you can withdraw access at any time.

Zoho Books is never changed

V2W FinBridge only reads from Zoho Books. Your records there are never edited.

Going live

Running in three steps

Step 01

Connect Zoho Books

Sign in to Zoho Books once and approve access. No passwords shared, and you can withdraw access any time.

Step 02

Set up beside Tally

A one-time setup on the computer where TallyPrime runs. After that, it works quietly in the background.

Step 03

Watch the first sync

See every run and every voucher posted, and review the first sync together with our team.

FAQ

Zoho Books to Tally FAQs

How can I get my Zoho Books data into TallyPrime?

V2W FinBridge sends your Zoho Books entries into TallyPrime automatically, as proper Tally vouchers with the right ledgers and GST. There are no files to export, reformat or import by hand.

How often does data go from Zoho Books to Tally?

On the schedule you choose, or on demand whenever you need Tally up to date — for example before a GST filing or a meeting with your CA.

Which Zoho Books entries are synced to Tally?

Invoices, credit notes, payments received, bills, vendor credits, payments made, expenses and journals, together with customers, vendors, items and ledgers.

Will the same invoice ever be posted twice in Tally?

No. Every entry is sent once, even if a sync is re-run or interrupted.

Does V2W FinBridge change anything in Zoho Books?

No. It only reads from Zoho Books. Zoho Books stays your system of record, and Tally is brought in line with it.

Are GST details correct in Tally?

Yes. CGST, SGST and IGST are split per line and HSN/SAC codes are carried through, so your CA can file returns from Tally.

My CA uses Tally but we use Zoho Books. Is FinBridge right for us?

Yes — this is exactly the situation it was built for. Your team works in Zoho Books, and your CA works in a Tally company that is always up to date.

Do I need to change anything in my office network?

No. There is nothing to open up or reconfigure, and your Tally company is never exposed to the internet.

How do we get started?

Book a demo. We will show your own Zoho Books data landing in TallyPrime before you commit.

See your own books flow, live.

A guided demo with your own Zoho Books data — watch it land in TallyPrime before you commit.

V2W FinBridge +91 8925551190 · contact@v2wss.com · v2wss.com