BastraLekha ବସ୍ତ୍ରଲେଖା

User guide

Reports and the audit trail

The reports a manager reads, and the trail an auditor follows.

Reports

ReportWhat it answers
SalesWhat sold, where, when and how it was paid
Branch comparisonBranches side by side — for head office, which sees every branch
Stock ageingHow long stock has been held, in age bands — the starting point for markdowns
OutstandingWhat each customer owes, and how overdue
PayablesWhat the cooperative owes each supplier and society
Rebates givenRebate by scheme, branch and period

Other registers live with their module: the markdown register and stock valuation under Markdowns, the label account under Handloom labels, section 143 and ITC-04 under Job work, and the GST TDS reconciliation under GST. Lists and reports export to Excel.

A branch-scoped user sees their own branches; head office sees all.

The audit trail

Audit → Audit trail records every change to a record: who made it, when, from which address, and the record before and after. Signing in and out, printing and exporting are recorded too. Nobody — not the administrator — can edit or remove an entry.

The audit pack

Audit → Audit pack is one download for a financial year with what a cooperative's statutory auditor asks for: the trial balance, every voucher with its entries, the invoice series with any gaps flagged, the history of period locks, and the full audit trail for the year. It keeps working even if the licence lapses. The auditor's own role can read and export everything and change nothing.

Controls worth knowing