## Documentation Index Access the complete documentation index at: https://www.zoho.com/in/books/kb/llms.txt Use this file to discover all available documentation pages before proceeding. [Back](./) # How do I reconcile the transactions (Expenses, Bills, Debit Notes, Credit Notes etc.) with the GSTR-2A transactions? Before you can match the transactions, you must pull the GSTR-2A data from **GSTN** into Zoho Books. Once you pull the **GSTR-2A transactions**, they will be listed under the **Missing in Zoho Books**, **Partially Matched** and **Matched** tabs based on the level of matching. To match the transactions under these tabs with GSTR-2A transactions: * Go to the **Accountant** module and select **GST Filing**.  * Select the **GSTR-2** return.  * Select the **Reconciliations** tab. #### Go to **Missing in Zoho Books** sub-tab.  * Click the **Actions** dropdown and select one of the following options to reconcile a transaction:  * Select **Create & Match**, if the information in the transaction is accurate and you want to create a new transaction in Zoho Books.  * Select **Reject** if the transaction is a counterfeit or a duplicate copy. * Select **Mark as Pending**, if you will be creating the transaction later and do not want the transaction to be matched in this filing period. ![Missing in Zoho Books sub-tab](/books/kb/images/gst/reconcile-getr2-missing.png) #### Go to **Partially Matched** sub-tab. * Click the **Actions** dropdown and select one of the following options to reconcile a transaction:   * Select **Use my Value**, if you want to use the values in the Zoho Books’ transaction instead of the values in the fetched transactions.  * Select **Modify & Match**, if you want to edit your transaction and match.  * Select **Mark as Pending**, if you do not want the transaction to be matched in this filing period. ![Partially Matched sub-tab](/books/kb/images/gst/reconcile-gstr2-partially-matched.png) #### Go to **Matched** sub-tab. * Click the **Actions** dropdown and select one of the following options to reconcile a transaction: * Select **Accept**, if you want to confirm the match and include this transaction in this month’s return filing.  * Select **Mark as Pending**, if you do not want the transaction to be matched in this filing period but later. ![Matched sub-tab](/books/kb/images/gst/reconcile-gstr2-matched.png) * * *