Every report you need for a normal filing month lives here: dashboards and a full report catalog, GSTR-1 and GSTR-3B computed from your books with a due-date calendar, the ITC loop closed after filing, and the one-tap Hand-to-CA ZIP that packages a whole period for your accountant.

Where reports live
The Reports hub opens tabbed dashboards — cashflow, income vs expenses, top clients, projects, expenses by category. All reports is the full catalog: a grouped tree of every report (financial statements, GST, marketplaces, productivity, personal), with favourites you can star and quick access to what you opened last. Accountant-mode users see Tally-style labels on the same reports.
File GSTR-1 from Finocket, step by step
- Open GST → Returns and pick the month.
- Finocket computes your outward supplies from your invoices — B2B, B2CL, B2CS, exports and nil-rated, in the shape the GSTN portal's offline tool accepts.
- Download the GSTR-1 export (a ZIP of the return files). Each generated period is snapshotted, so you always know what you exported.
- Upload it in the GST portal's offline tool / returns dashboard, verify the summary and file with OTP/DSC.
- The due-date calendar on the same screen shows what's due when, so nothing slips.
The GSTR-3B view
For the same period, Finocket computes the GSTR-3B summary: Section 3.1 outward supplies, Section 4 ITC available — built from your ITC-eligible expenses, including reverse-charge (RCM) supplies shown separately — and tax paid. Preview on screen, then use the numbers to file 3B on the portal.
After filing, tap Mark ITC claimed for the period: the month's eligible expenses are stamped claimed, drop out of available ITC and get an ITC claimed chip on the Expenses list — so a later 3B never double-counts credit you've already taken.
GSTR-8, GSTR-2B and the annual return
- GSTR-8 reconciliation (marketplace sellers) — diff your books against marketplace TCS settlements before filing. See the GSTR-8 guide.
- GSTR-2B purchase reconciliation — upload your 2B JSON and bucket purchases into matched / mismatch / missing. See the GSTR-2B guide.
- GSTR-9 annual — full-year working tables to prepare the annual return. See the GSTR-9 guide.
The Hand-to-CA ZIP
Open Reports → Hand to your CA, pick a preset (“This quarter”, “Year to date”, “Current FY (Apr–Mar)”) or a custom range, and Finocket bundles one ZIP: every invoice PDF named by number, a statement per client, Day Book, GSTR-1 and 3B for each month — plus Tally XML of masters and vouchers, and a README so your CA knows exactly what's inside. Share it over WhatsApp or email.
Access & control
Owners and assistants generate returns and exports; an invited accountant opens every report and download read-only — most CAs live here. GST screens need the GST module on (Profile → Modules) and your GSTIN set in your business profile.
Related: GSTR-8 reconciliation, Invite your CA.