Export / handoff

Accounting / GST

TallyPrime

TallyPrime is an export / handoff path — honest about what is live vs designed.

  • Type

    External connector

  • Status

    Export / handoff

  • Category

    Accounting / GST

  • Touches

    Finance

  • Domain

    tallysolutions.com

  • Enablement

    03 phases

Overview

How TallyPrime fits NISKA

Use export when accountant workflows need files; treat live APIs as optional only if explicitly enabled.

03Pillars

Three operator outcomes — not a logo wall.

Overview

Accountant handoff path toward TallyPrime — export-first unless a direct connector is explicitly enabled.

  • GST and folio truth can hand off without reinventing ledgers in the PMS
  • Export / designed accounting paths stay honest about what is live
  • Finance teams keep their tools while NISKA owns hotel operations truth

Why this connector matters

Three operator outcomes — not a logo wall.

  • Export / handoff

    Folio and GST-ready exports are designed for accounting tools when packaging applies.

  • Map

    Chart and tax mappings stay property-specific — not a fake universal live API claim.

  • Reconcile

    Hotel finance ops stay on NISKA; books stay where accountants work.

Data paths

What is designed to sync

Flows stay on the shared property model — not a bolted relay layer.

03Paths
  1. Path 02

    Operations

    Map

    Chart and tax mappings stay property-specific — not a fake universal live API claim.

  2. Path 03

    Operations

    Reconcile

    Hotel finance ops stay on NISKA; books stay where accountants work.

Surfaces

What this connector covers

Capability language stays tied to Channel Manager / owning modules — not invented APIs.

03Surfaces
  • Reports and ledgers exportable for handoff
  • Finance remains folio and GST source of truth
  • Honest export status — not marketed as a live API by default

Enablement

What “when enabled” means

A marketing logo is not a green UAT checklist. Rollout certifies what your property gets.

03Steps
  1. Step 02

    Validate

    Tax / GST fields are validated for the property.

  2. Step 03

    Cadence

    Handoff cadence is set with the finance team.

Day-2 ops

How teams should run it

After go-live, keep the property model as the writer and treat alerts as book-risk.

  1. Keep export ownership with Finance

  2. Re-validate GST fields after rate or tax rule changes

Next step

Map TallyPrime to your property

Book a demo to verify enablement, or return to the catalog for the full grouped list.

Field notes

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