Trial balance in.
Audit-ready statements out.
Schedule3 turns your ledger into fully scheduled Balance Sheet and Profit & Loss notes — numbered, cross-checked, and ready to file.
Pay only for the reports you generate — no subscription required.
Trial Balance — Raw Ledger
Property, Plant and Equipment
Disclosure notes shouldn’t take longer than the audit itself.
Preparing NAS-for-MEs financial statements usually means copying figures between Excel and Word by hand, renumbering every note when one gets added or removed, and not knowing whether the books actually balance until the very last page.
Schedule3 takes the same trial balance you already keep and maps it straight into the schedules a Nepali audit expects — Property, Plant and Equipment through Reserves on the Balance Sheet, Revenue through Tax Expenses on the Income Statement — with every account landing in the right note, automatically.
10
Balance Sheet notes
5
Income Statement notes
2
Statements, fully derived
1
Balance check, always on
Everything between a trial balance and a finished report.
Import straight from Excel
Upload the trial balance you already keep. Codes and descriptions map into the chart of accounts as-is.
Schedules numbered automatically
Every account lands in its note, numbered and cross-referenced from 3.1 through to the final statement.
Live balance check
Debit and credit reconcile as you go, not just when the report is finished.
Edit inside the report
Review the generated notes and adjust language directly — no round-trip through a separate Word file.
Export back to Excel
Push changes back to a spreadsheet at any point in the process, not just at the start.
Download when it's ready
Get the finished Balance Sheet and Profit & Loss as a polished document, ready to file.
Four notes, one finished report.
Import
Upload your trial balance from Excel, or enter ledger rows directly in the editor.
Map
Schedule3 sorts every account into its Balance Sheet or Income Statement schedule automatically.
Review
Check the generated notes and statements, and edit anything directly in the built-in editor.
Download
Get your finished report, numbered and ready to file.
Pay for the reports you generate.
No subscription tax for occasional use — a credit is spent only when a report is generated. Figures below are illustrative.
Single Report
per report
Generate one report, start to finish. Good for an occasional filing.
- 1 report credit
- Full Balance Sheet & P&L notes
- Built-in editor
- PDF download
Practice Pack
5 report credits
For a small firm preparing several clients' statements each season.
- 5 report credits · NPR 1,200/report
- Everything in Single Report
- Credits don't expire
- Priority support
Firm
20 report credits / month
For firms running statements year-round, with more than one preparer.
- 20 report credits · NPR 1,000/report
- Everything in Practice Pack
- Team seats
- Usage dashboard for the firm
Frequently asked.
One credit generates one complete report for a single entity and reporting period — the full Balance Sheet and Income Statement, with all supporting schedules. Re-downloading or re-editing the same report afterward doesn't use another credit.