TallyHelp

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Using TallyHelp

TallyHelp file is structured in such a way that it provides easy navigation between topics and facilitates easy search. The comprehensive Online Help covers basic and advanced operations. It is context-sensitive and extracts help UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE on topics related to the current screen in Tally. Use Alt + H from the keyboard or click the Help button to access the relevant topics in the Online Help. Here are some details on how to use this help file effectively. It is suggested to go through this topic to utilize the help file effectively.

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To handle the Left (navigation) pane To handle tool bar buttons To get to know some basics

What's new in this release?

The following links contain information on new features or areas that have been updated in Tally. New Features in Tally 9 New Features in Tally 8.1

New Features in Tally 9

Release 2.0

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Release 1.3 Release 1.21 Release 1.2 Release 1.11 UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Release 1.1 Release 1.0

Release 1.31

Release 2.0
Tally 9 Release 2.0 unleashes the full power of the new engine built into it to give you superlative performance. The response time of the application can now be measured in seconds rather than minutes, even for high volume data. This percolates down to a tenfold increase in performance in several operations. It will improve the user experience with the application and will substantially increase productivity.

Enhancements in overall performance
Tally 9 Release 2.0 is incorporated with several advanced features which bring about an overall improved performance of the application. One of the most important advancements is the substantial increase in the speed of several operations like loading of company data, backup and restore, reports generation, etc., thus giving an improved and thrilling user experience.

Export to Excel
Export to Excel is a new feature that has been incorporated in this release of Tally 9. This feature enables the user to export any report generated by Tally into Excel. Consequently the user can generate graphical representations of his data for better visual presentation. It will considerably speed up and ease the process of filing e-VAT in the future. Note: Export to Excel is compatible with Microsoft Office’97 or higher.

LAN Support for Tally 9 Silver
A single company data can now be accessed simultaneously by more than one Tally 9 Silver (Single User) licenses.

Speed of Migration – reduction in memory usage, increase in speed
Another development is the improved performance in Data migration. The application architecture has been designed to reduce the memory usage during the migration process. This results in an increase in the speed of the migration process and subsequent reduction in time required for the migration.

Rewrite speed – improved function

The rewrite function for data correction has been further enhanced in this latest release of Tally.

POS Invoice
Modifications have been done to ensure the appropriate display of Multi Mode Payment details that appear at the bottom of the POS Invoice.

Printing Party Name and Address
Earlier, printing ledgers using the Multi Account Printing option in Tally with Normal Ledger selected as the Style of Report, Format as Condensed, and with Start fresh page for each Account set to Yes in the Report Generation screen would print the Party’s Name only after the Party’s Address. Go to Gateway of Tally> Multi Account Printing> Account Books> Ledger> Group pf Accounts> Select Sundry Debtors or Sundry Creditors However, modifications have been made to print the Party’s name prior to the party’s Address.

F4: Change Items
Corrections have been made to enable selecting Cost Centres using the button F4: Change Items while at the Cost Centre Vouchers screen. Go to Gateway of Tally> Display> Statements of Accounts> Cost Centres> Cost Centre Break-up> Select the Cost Centre and drill down to the Cost Centre Vouchers screen.

TDS
The option Allow Alteration of TDS Rates in F12: Configure when clicked at the voucher level has been replaced with Allow Alteration of TDS Rates for Lower Deduction.

Selecting Invoice in Excise Purchase Invoice
Earlier, on selection of an Excise Purchase Invoice from the List of Purchases that appears in the Supplier Details sub screen during an excise sales transaction, Tally would not allow you to trace back to the sub screen and select an invoice from the list in case of a misjudgment on selection. However, Tally 9 Release 2.0 is now made more flexible to accommodate such changes.

Excise Opening Stock
By default, the date that appears in the As on field in the Excise Opening Stock Creation screen is the Current date specified. Earlier this field could not be modified. However, you now can enter the date of your choice in the As on field.

M: Manufacturer List
Tally now offers the flexibility to select the details of a Manufacturer or Importer by clicking the M: Manufacturer List button during an Excise Purchase transaction. Toggling with the button allows you to select the Manufacturer or Importer from the List of Ledger Accounts or enter details manually while at the Manufacturer/ Importer Details section in the Party Details screen.

Printing Excise Sales Invoice
The title Name and Address of Supplier of Goods if he is a Manufacturer or Importer which appears in the excise sales invoice when Print Trader Supplier Info is set to Yes in the Invoice Print Configuration screen has been changed to Name and Address of the Manufacturer/Importer.

Printing State and PIN Code
With Printing State and PIN Code set to Yes in F12: Configure> Printing> General, you can now print the Buyer’s State and PIN Code in Sales invoice, Purchase invoice, Credit note and Printing through Multi Account Printing, as entered at the time of Ledger creation.

Service Tax – Malaysia
Corrections have been made to ensure that the Service Tax gets calculated for during sales transactions.

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Printing Excise Sales Invoice
Corrections have been made to ensure that Tally prints the titles for Excise Sales invoices as follows:

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The duplicate copy being marked as DUPLICATE FOR TRANSPORTER

The original copy being marked as ORIGINAL FOR BUYER

The triplicate copy being marked as TRIPLICATE FOR ASSESSEE

The subsequent copies NOT FOR CENVAT PURPOSES

Modifications done now ensure that the excise duty amount gets printed in numbers in the Net Value Excise Amt field on sales invoices printed while Follow Excise rules for Invoicing in F11: Features> Statutory & Taxation is set to Yes.

Nature of Purchase in Excise
Two new Nature of Purchase: Agent of Manufacturer and Purchase from Importer have been added in Master creation.

Excise Invoice Printing
The option of Print Trader Import Declaration has been provided for in the Invoice Printing Configuration. Under F12 - Voucher Configuration, the earlier label “Allow Alteration of TCS Rate” has been changed to "Allow Alteration of TCS Rate for Lower Collection ". The earlier label name has been changed from "PLA RG 23 Sl. No." to "Seller RG23D No." in Excise Sales Invoice (Manufacturing Section)

Additional Description for Ledgers
Additional description for ledgers has been provided for. This option can be activated in F-12 – Invoice Configuration screen.

TDS Report
Retrieval of TDS computation reports has been enhanced.

UDFs migration
Migrating data from Tally 7.2 to Tally 9 Release 1.3 would not capture values for and 2 as Index numbers for String Data type in TDL containing UDFs. Ledger Object UDFs taking 1

Appropriate measures have been taken to ensure that the values are captured accurately.

Printing Bill wise Details
Printing Bill wise details of ledgers using Multi Account Printing with Show Billwise Details also set to Yes and Start fresh page for each account set to No would not display bill wise details in the report. The issue has been addressed. [Go to Gateway of Tally> Multi Account Printing> Account Books> Ledger> Group pf Accounts> a Group] select

Payroll Exporting Pay Sheet
Earlier, exporting a Pay Sheet with a few empty columns in the ASCII format on to MS Excel and selecting Comma as the Delimiter would not be considered. The same has been addressed appropriately.

Date of Leaving for Employees
While entering the Date of Leaving for an employee in the Employee Alteration screen, Tally used to accept dates prior to the Date of Joining, specified in the master. This issue has been addressed.

Date for Despatch Document
Create a Delivery note skipping the Despatch Doc. No. field in the Party's Supplementary Details screen. Now pass a Sales invoice and track the Delivery note. A print out of the sales invoice would not display the Date against the Despatch Doc. No. The issue has been addressed appropriately.

Tally Link Server Synchronization
Synchronization initiated with Tally Link Server through certain Internet Service Providers displays the message Out of Memory and terminates the process immediately. The issue has been resolved.

Memory Access Violation
Drilling down from the Statistic screen for a Group company to the vouchers gives MAV (Memory Access Violation) error. This issue has been resolved.

Stock Ageing Analysis
The Stock Ageing Analysis does not display the combined total for the Group company. This problem has been appropriately addressed.

Physical Stock in FIFO method
Physical stock voucher entry is not affecting the value of the stock items, when using the FIFO valuation method

for stock item. Necessary action has been taken to affect the stock value when passing a physical stock entry.

Bank reconciliation Statement Printing
The print option screen for printing the Bank Reconciliation Statement (BRS) displays Printing Ledger. This issue has been resolved and the option will now be displayed as “Printing Bank Reconciliation”.

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Rejection Outward note
Tally shows a Negative Stock warning when passing a Rejection Outward note, even when there is stock for the specific item. This has been rectified.

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CST
CST Pending List screen does not show the break-up of the gross invoice value. This problem has been rectified. Details of Gross amount are now being displayed in CST in the Form Receivables screen.

Multiple VAT Classification
When there is a Multiple VAT Classification like "Inter- State Sales" and "Inter - State Sales - Spl. Category Sales" used in an invoice, the amount of CST displayed is incorrect in the VAT Computation Report. Appropriate steps have been taken and this issue has been resolved.

Cost Center budget report
When we set the budget for Cost Centers and try to view the Cost Center budget break up report, the values re not displayed correctly. This issue has been resolved. The reports as per the Cost Center Budget are displayed correctly.

Location mismatch during re-write
If a Purchase Order/Sales Order is created with the option Any selected under Godown, and then a Receipt Note/Delivery Note entry is passed linked to the PO, on re-writing the data, the PO passed with the above godown option, changes to Main Location. This has been rectified.

Sales Order/Purchase Order status mismatch
On rewriting data, the Sales Order/Purchase Order outstanding report displays the Sales Order/Purchase Order as pending, even after they have been adjusted. Appropriate steps have been taken to resolve this issue.

Purchase Order status mismatch
Already knocked off Purchase Order with the Receipt Note in Tally 7.2 is shown as “ Pending” after migration to Tally 9. This issue has been duly addressed and the problem has been resolved.

Retention of POS parameter
While creating a voucher type for POS invoicing, the option Print after saving Voucher does not retain the parameter No. The parameter defined by the user is now retained.

POS entry in Edit mode
On opening a POS entry in the Alter mode, the credit Card number, Bank Name and Cheque Number were not displayed. Necessary steps have been taken to resolve this issue.

Distorted Alignment
In the Alteration Mode of a POS Invoice, the alignment of the field name “Ledger” is distorted. This issue has been resolved.

Negative stock warning

While using multiple batches of purchase for a single item, in a Sales Invoice, Tally displays a negative stock warning.

On passing a stock journal for an item with balance stock, Tally displays a message saying “Negative Stock”.

These issues have been addressed.

FBT Helper
When an expense amount is entered and then an FBT Payment is made using the FBT Helper, there is a difference between FBT Computation and the amount calculated by FBT Helper. Necessary steps have been taken and this issue has been resolved.

TCS
TCS Party name does not change in the TCS details sub-screen when the party name is changed in the invoice. This issue has been resolved. The party name will change in accordance with the name on the invoice.

Release 1.31
TDS
Earlier making an advance payment to a party through the single entry mode would not calculate the TDS amount. However, now the TDS amount appears appropriately.

Mismatch in Credit and Debit Balances
Receipt vouchers created in the double entry mode using foreign currency used to display a mismatch in Credit and Debit balances in the alteration mode. The mismatch in balances has been resolved.

Negative Stock Warning in Journal Voucher
Create a stock item with an opening balance of considerable units and pass a delivery note against it. Using a Journal Voucher to record a sales transaction tracking the delivery note would display a warning message of negative stock even though a considerable amount of stock was left over. The same has been addressed appropriately in Journal voucher.

Migrating € to Tally 9
Data migrated from Tally 7.2 used to PDF the Euro currency symbol THETA-SOFTWARE UNREGISTERED VERSION OF CHM TOdisplay CONVERTER PRO BY€, as a box in Tally 9. However, modifications done will successfully migrate € to Tally 9 now.

Booking FBT Expenses
Corrections have been made in the Ledgers of FBT Category report to display details of FBT expenses booked by means of a Memorandum OF CHM TO UNREGISTERED VERSION voucher report. PDF CONVERTER PRO BY THETA-SOFTWARE

Price lists and Stock Items with Negative or Zero Balance
Set Allow Invoicing and Use Multiple Price levels to Yes and Allow Sales Order Processing to No in F11: Features> Inventory Features. In such circumstances, the Price Rate in Sales invoices created using Price Lists for Stock items having a Negative or Zero Balance used to appear late or would not appear at all. The error in displaying the Price Rate in such conditions has been resolved.

UDF Value left Blank
With Maintain Multiple Godowns in F11:Features> Inventory Features set to Yes, Sales transactions for a stock item with UDF value at the Batch Allocation Level left Blank when viewed in the alteration mode, displayed the UDF value specified during the Purchase of the same item. The issue has been addressed.

Excise stock duty details after data rewrite
With Dealer Excise enabled in F11: Features > Statutory & Taxation, the Excise duty details of Excise Stock Items available in hand, were getting deleted after a data rewrite. This issue has been fixed to retain the Excise Duty values.

Migrating String UDF value specified under Voucher Object
Earlier, migrating data from Tally 7.2 to Tally 9 would not display the String UDF value specified under Voucher Object in Tally 9. However, modifications have been done to ensure successful migration of the same.

UDF Values specified under Company Object
Modifications have been done to ensure that the values of String and Date UDFs specified under Company Object appear in Tally 9 on migration from Tally 7.2.

Release 1.3
Performance in Networking Environment
In a networking environment, if the Server has Windows XP and Clients have Windows 98 as the operating system, Tally performs efficiently with improved data stability. The error Record Insertion Failure will not occur in Tally while working in a networking environment.

Day Book

Selecting Cost Centres in the option Alt+F12: Range from Day Book, lists the appropriate options.

Voucher Printing
Set the option Print after saving voucher to Yes in the Voucher Type Alteration screen, to print a Rejection in/ Rejections Out voucher, after saving. Go to Gateway of Tally > Accounts Info > Voucher Type > Alter

Interest calculation in Forex
A Sales transaction created using Forex currency and Interest calculation, calculates the Outstanding Forex Interest accurately. Go to Gateway of Tally > Display > Statement of Accounts > Interest Outstanding > Ledger > Customer

Ledger Account
Tally now prints the address of the Sundry Debtor / Creditor ledgers, while printing a ledger account. Go to Gateway of Tally > Display > Account Books > Ledger

Ratio Analysis
If the Nett Profit is lesser than the Return on Investment% or Return on Working Capital, Tally displays the values with a negative sign.

Maintain balances bill by bill
Altering a ledger created under Sundry Debtors or Sundry Creditors, by setting Maintain balances bill by bill to Yes affects only the selected ledger and not the Group.

Columnar Profit & Loss A/c
Go to Gateway of Tally> Profit & Loss A/c > C: New Column Tally displays the Columnar Profit & Loss A/c report for any specified period and prints the report accurately.

Migration Tool
Licensed users may now migrate data to Tally 9, using the Tally Data Migration Tool on Tablet PCs and Desktop computers of higher processor speed.

Multi Account Printing
Go to Gateway of Tally> Multi Account Printing> Outstanding Statements> Ledger> Group of Accounts> Select the Group Set Start fresh page for each Account in the Printing Ledger Outstanding screen to No and print the outstanding ledger accounts along with accurate On Account details.

Printing Invoice
Tally prints with proper line spacing on Pre-Printed stationery

Printing List of Accounts

While printing the List of Accounts, pressing Enter in the Report Generation screen will not take the cursor to the Type of Masters field. Go to Gateway of Tally> Display> List of Accounts> Alt+P

Actual – Billed Quantity
Tally captures correct Actual and Billed quantities in Delivery Notes with any reference number and with Maintain Multiple Godowns in F11: Features > F2: Inventory set to Yes.

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Titling
While printing multiple vouchers using the Multi Voucher Printing option, use Alt+T: Titling and set Print page numbers in the report to No, in order to stop the printing of page numbers on all pages.

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The Designation of Signing Authority appears in the print configuration screen and print preview, only if Confirmation of A/cs is selected as the Style of Report.

Interest Parameters
Advanced Interest Parameters entered while creating a ledger appear accordingly at the time of voucher creation.

Interest Calculation
Tally calculates interest rates appropriately for occasions where different rates have been specified for different periods.

Formal Receipt
While creating Receipt vouchers, Tally displays the name of the Branch/Division or Capital A/c Ledgers in the field Name of Receipt, when Print Formal Receipt after saving is set to Yes in the voucher type

Cheque Printing
Tally captures the name of the Branch/Division or Capital Ledgers in the field Name on Cheque while creating Payment vouchers.

Foreign Exchange
A Purchase entry made in foreign exchange with Use Common Ledger A/c for Item Allocation in F12: Configure set to Yes, display appropriate values when viewed in the alteration mode.

Multi Column Cash/Bank
You can use the Multi Column Cash/Bank option in Multi Account Printing to print Multi Column Cash/Bank with columns and get well-defined prints of the same.

Tracking Consignee
Tracking of Purchase or Sales Orders, created with different Buyer and Consignee names in Receipt and Delivery notes displays accurate Consignee Details.

Godowns
The address entered in the Godown creation screen appears legible.

Bank Reconciliation
The Bank Reconciliation statement displays appropriate entries as configured in F12: Configure. Go to Gateway of Tally> Display> Account Books> Cash/Bank Book> Cash Bank Summary> Drill down to the Ledger Vouchers screen and press F5: Reconcile.

Stock Journal
The value in the rate field of a Stock Journal (Transfer of Materials) appears appropriately.

Reference
You can now print the Reference number entered in the Stock Journal entry.

Purchase/ Sales Order
The list of Party or Customer ledgers is displayed appropriately, while creating a Purchase/ Sales order respectively.

Rejection In/ Out Vouchers
The Rejection Inward/ Outward vouchers display the customer details as entered in the Mailing Details section of the Customer ledger creation.

Inventory Report
The Godown – wise Inventory reports now displays accurate balance values whereas multiple Godowns are maintained.

Price Level
Creating a Price Level, using Alt+C from the Price List screen will display the same in the Price Level field spontaneously.

Security Control
Tally provides access to the features/ options as specified in the Security Levels screen.

Cost Centre
Set the option Show Cost Centre Details also to Yes in the Multi Account Printing for Group of Accounts to print the Cost Centre details. Go to Gateway of Tally > Multi Account Printing > Account Books > Ledger > Group of Accounts

Payroll
Configuring Payslip
Tally allows you to configure the Payslip to define the Height & Width. Go to Gateway of Tally > Display > Payroll Reports > Statement of Payroll > Payslip>Alt+P and then press F12: Configure for the printing configuration

Authorised Signatory

You can now configure your Payslip to include the signature of an Authorised Signatory.

Pay Head
Once you select a Pay Head from the List of Pay Heads in the Salary Details Creation screen, the Pay Head and its alias will not be displayed in the selection list.

Excise for Dealer

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Local Sales Tax Number
The Excise Sales Invoice prints the Local Sales Tax Number, entered in F11: Features > Statutory & Taxation, if the VAT feature is not enabled.

Secondary Education Cess on CVD UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Tally now supports the calculation of Secondary Education Cess on CVD on Excise Stock Items. The following new columns have been added to print the duty value in the sales section of Excise Sales Invoice Rate of Sec Ed Cess on CVD Sec Ed Cess on CVD Amount

The Sec Ed Cess Amount column in Purchase Section of Excise Sales Invoice will capture the duty value. The Excise Purchase Bill Register and Excise Stock Register will capture the value in the Total Cess Column

Range and Division in Excise Sales Invoice
The Excise Sales Invoice captures the address of the Range and Division specified in F11: Features > Statutory & Taxation

Range and Division
The field Range/ Code and Division/ Code in Excise Sales Invoice has been renamed to Range and Division respectively.

Excise Opening Stock
You can enter Narration while creating the Excise Opening Stock in Tally.

Excise Purchase Invoice
Tally allows you set different duty values for a single Excise Stock Item , which can be set to zero while creating different Types of Purchases.

Excise Sales Invoice
The Excise Sales invoice now prints the title as follows: 1. 2. 3. The original copy being marked as ORIGINAL FOR BUYER The duplicate copy being marked as DUPLICATE FOR TRANSPORTER

1. 2. 3. 4. The triplicate copy being marked as TRIPLICATE FOR ASSESSEE The subsequent copies NOT FOR CENVAT PURPOSES

While printing a single copy of Excise Sales Invoice, the title will not be printed.

Excise Stock Item
The Excise Stock Item alteration screen will now display the Tariff Classification below the field Excise details in the Tax information section, to identify the Excise Item.

Refreshing of Duty Value in alteration mode
While creating an Excise Purchase Invoice, if the Duty Value is changed, Tally retains and displays the same when viewed in the Alteration mode.

Duty names in Excise Invoice
The Excise Sales Invoice will capture the duty names of the Stock Item appropriately, as specified in the Excise Purchase creation (CVD name instead of BED).

TDS
Surcharge Value
Tally calculates accurate Surcharge Value on the total amount specified in the Party Payment Entry, if the field Ignore Surcharge Exemption Limit in the Party ledger is set to No.

TDS Ledgers
While creating a voucher without using TDS ledgers, in a TDS enabled company, Tally displays all the fields appropriately.

POS
POS Invoice
Set the option Use Additional Description(s) for Item Name to Yes in the POS Invoice Printing configuration to print Additional Item Description in a POS Invoice.

Cancelled POS Invoice
You can now preview a cancelled POS Invoice in the alteration mode.

Job Costing
Job Work Analysis
Use Alt+F1 to view the voucher details of the selected ledger in the Job/Project Monthly Summary report. Go to Gateway of Tally> Display> Statement of Accounts> Job Work Analysis> Job/Project Monthly Summary

Release 1.21

Minor Enhancements
Service Tax
Secondary Education Cess Effective Date

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To comply with the Finance Act 2007, Tally provides the Additional Secondary and Higher Education Cess (SHEC) @ 1%, effective from May 11, 2007 N o t e : Secondary and Higher Education Cess @ 1% was effected in Stat version 53 April 1, 2007. You need to re-accept any voucher passed with SHEC (from 1.4.2007 10.5.2007) to update the SHEC calculation. from to

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New Service Categories
The following new Service Categories have been provided: 1. Telecommunication service 2. Mining of mineral, oil or gas 3. Renting of immovable property service 4. Works contract Service 5. Development and supply of content 6. Asset management 7. Design Services

Tax Deducted at Source (TDS)
Calculation of TDS Surcharge
Surcharge is calculated appropriately in the alteration mode.

Form 16A
Form 16A in TDS has been revised.

Change in TDS Tax Rate
1. Effective April 1, 2007, the TDS Tax rate for Rent of land, building or furniture for deductee type Individual/HUF - Resident has changed to 15% and for all other deductee types the tax rate has been revised to 20%, effective from June 1, 2007. Effective June 1, 2007, the TDS Tax rates for deductee type Resident have changed with regard to the following Nature of Payments.

2.

Commission or Brokerage to 10%

Fees for professional or technical services to 10%

New TDS Nature of payment
The following new TDS Nature of payments have been provided: Rent of Plant, Machinery or Equipment at 10%, effective from June 1, 2007. Any Other Interest on Securities as per sec.193 for all Resident deductee types at 20%, effective from April 1, 2004.

TDS Nature of Payment
Rent has been renamed to Rent of Land, Building or Furniture.

Tax Collected at Source (TCS)
Calculation of TCS Surcharge
Surcharge is calculated appropriately in the alteration mode.

Form 27D
Form 27D in TCS has been revised.

Display of State Name
Tally now displays Uttaranchal as Uttarakhand in accordance with its recent renaming. Tally also displays Chhattisgarh appropriately. To effect these changes in Tally, go to Gateway of Tally > Company Info. ( Alt + F3) > Alter. Select the appropriate state from the List of States and accept the Company Alteration screen to save the changes.

Tracking Delivery and Receipt Notes in a Journal Voucher
Enable Use Tracking Numbers (Delivery/Receipt Notes) in F11: Features > Inventory Features to facilitate easy track of Delivery and Receipt Notes in a Journal Voucher.

Release 1.2

New Features
Excise Opening Stock
Tally allows you to record the Opening Stock Balance of Excise Stock Items. Refer to Excise for Dealers for more details on Creating an Excise Opening Stock.

Calculation of Secondary Education Cess
With effect from 1st April, 2007, Secondary Education Cess displays accurate values when selected with other Types of Duties such as TDS, TCS, FBT and Service Tax.

Calculation of CVD (On Import)

Tally calculates CVD (On Import) on (Assessable Value + BED) appropriately in accordance with legal requirements.

Start of new Financial Year
Tally displays a warning Change in Date may cause loss of Data if the financial year is altered in the Company Alteration screen.

VAT Payment Vouchers – OF CHM TO UNREGISTERED VERSION For India Only PDF CONVERTER PRO BY THETA-SOFTWARE
You can record details such as Payment period, Challan No. and so on, for each transaction while creating the VAT Payment vouchers.

VAT Declaration in Excise Sales Invoice

UNREGISTERED VERSION OF CHM TO PDF CONVERTER Sales Invoice that has utilized VAT ledgers. Tally displays a VAT Declaration in the Print Preview of an Excise PRO BY THETA-SOFTWARE
Education Cess on CVD in Excise Sales Invoice
Tally now calculates Education Cess on CVD in an Excise Invoice.

Duty Heads for Customs and Excise
Select the appropriate Duty Head for Excise from the Type of Duty/Tax list while creating Ledgers under Duties & Taxes.

Major Enhancements
Speed of Data Transfer
Tally now facilitates faster report generation.

Pending Purchase Order
While entering a Purchase Voucher against a Purchase Order with different delivery schedules, the Item Allocations sub screen displays only the Pending Purchase Order quantities.

List of Delivery Note Vouchers
Press F12: Value and enter the appropriate Range of Information in Report to view vouchers in the required format at the List of Delivery Note Vouchers report which is available in Statistics in Statement of Accounts.

Excise for Dealers
Self Importer details in Excise
Tally now displays the Self Importer details in the Excise Sales Invoice.

Printout of an Excise Sales Invoice
Tally allows you to print the Excise Sales Invoice with three stock items and three different tax ledgers on a single page.

Name and Address of Self Importer
The print preview of the Excise Stock Register and Purchase Bill Register report includes the Name and Address of the Self Importer.

POS
Editing a Cancelled POS Invoice
You can edit a cancelled Single Pymt/Multi Mode Pymt POS Invoice and re-enter the Invoice.

POS Invoice Printing
Set the option Print Batch Details to Yes in the POS Invoice Printing Configuration to print batch details in the POS Invoice.

Service Tax
Sales Voucher Class
You can use Voucher classes to create Sales invoices for Service Tax.

Switching the Service Tax Invoice to Voucher Mode
You can now toggle from Invoice mode to Voucher mode using the Ctrl+V keys in the Service tax voucher.

Payroll
Exporting Pay Heads
Tally now offers you the flexibility to export Pay Heads from List of Accounts report. Select Alt+E (Export) to bring up the Exporting List of Ledgers screen. Select Pay Heads from the Type of Masters list.

Tax Deducted at Source
Amount in Formal Receipt
The printout of a Formal Receipt Voucher with TDS Receivable deducted displays the accurate total amount.

Minor Enhancements
VAT Registration Number in U.K. VAT Analysis Report
The U.K. VAT Analysis report displays the VAT Registration number for all the Purchase and Sales entries.

Cost Centre Allocation in Payment/Receipt Voucher
The Cost Centre allocation sub screen in Payment/Receipt vouchers appears appropriately.

Inventory Vouchers
Use Alt + A from the Stock Vouchers screen of the Stock Item Monthly Summary for faster access to the Inventory/Accounting Voucher creation screen.

Stock Journal
Details of a Stock Journal Voucher display appropriately after Printing.

Forex Transactions in Job Costing
Set Show Forex Transactions only in F12: Configure to Yes to display the Forex transactions in the JobWork Vouchers report.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Interest Calculation using Multicurrency after Importing
The Forex Rates appear accurately at the Voucher entry level, after import of data that contain Interest Calculation.

Foreign Exchange values UNREGISTERED VERSION in Ledger Vouchers report OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
The ledger voucher report for Foreign Exchange transactions displays accurate Foreign Currency values for specified periods.

Closing Balance in Stock Summary
The Stock Summary report displays the appropriate Stock Item Rate and Value for Items sold at a discount.

Payment Voucher
A single Payment voucher inclusive of a discount created for multiple ledgers in the double entry mode using To/By during entry and later altered to Cr/Dr, displays accurate values.

Display of Multiple Ledgers and Groups
The Name of Ledger and Name of Group are shown appropriately at the Multi Ledger and Multi Group display screen.

Multi Column Cash/Bank Book
Printing a Multi Column Cash/Bank Book from Accounts Book at Multi Account Printing shows accurate Opening Balances and Total values.

Forex Gain/Loss display after Splitting data
Forex Gain/Loss adjusted previously does not reflect in the Balance Sheet following the split of Company Data.

Balance Sheet display after Splitting data
The Balance Sheet displays accurately following the split of Company Data.

Multi Account Printing of Inventory Books
Select All Items at Multi Account Printing and set Start Fresh Page for each Account is to No to display the Closing Value in the Item register and the Quantity at Physical Stock Entry.

Cost Centre Allocation
Set Show Cost Centre Details in F12: Configure to No while selecting Cash or Bank Accounts during the entry of a Payment or Receipt voucher in the double entry mode to prevent the appearance of the Cost Centre Allocation screen.

Allocating Cost Centres
Set Pre-Allocate Bills for Payment/Receipt to Yes in F12: Configure during the entry of a Payment or Receipt voucher in the double entry mode to facilitate the allocation of Cost Centres to ledgers.

Multi Voucher Printing
You can use the Multi Voucher Printing option to print vouchers/invoices with details of Party Name, Item and values.

Columnar Register Alteration
Drill down to the Voucher Register from the Sales Register, click F5: Columnar and select All Items (automatic columns) at Type of Column to view complete details of all the items at the Voucher Register.

Purchase Voucher Class
Set Override Using Item Default to Yes during the creation of a Purchase Voucher Class and create a stock item with the option Set/Modify Default Ledgers for Invoicing to Yes and enter appropriate values for Quantity and Rate. These values will display appropriately during Purchase Voucher entry as well as in the alteration mode.

Stock Summary report with Show Profit
Set Can Quantities of Items be Added to Yes when creating a Stock Item under Stock Groups to display appropriate values for transactions using the above mentioned Stock items in the Stock Summary report.

Tax Collected at Source
Printing of TCS Invoice
Set Print in Simple Format and Print TCS Details to Yes in F12: Invoice Printing Configuration to display the break up details of Income Tax, Surcharge and Cess in the TCS Invoice.

TCS Challan
The breakup of TCS payment details is captured in the TCS Challan.

Gross Amount
When you enable TCS and VAT for a company, the the Gross Amount inclusive of VAT. TCS Details sub screen in Sales Accounting voucher displays

VAT – For India
Voucher Number in VAT Classification Vouchers Report
When you drill down from the VAT Computation report, the VAT Classification Voucher screen displays Voucher Reference Numbers for all Purchase and Sales vouchers.

Voucher Date in VAT Classification Vouchers Report
The Voucher date in a VAT Classification Vouchers report appears in the numeric date format (e.g. 1-42007).

VAT – For Philippines

Invoice Printing Configuration for Philippines
Set the option Print VAT Analysis of Items at the F12: Print Configuration screen to Yes/ No while printing invoices for Philippines.

Excise for Dealers

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Excise Sales Invoice
The Excise Sales Invoice prints the appropriate declaration in the Declaration field.

VAT/Excise Details in Dealer Excise
The Supplementary Details sub form displays VAT/Excise Details appropriately THETA-SOFTWARE UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY at Excise Sales Invoice creation.

POS
POS Invoice
The POS Invoice displays the appropriate details both in Single and Multi Payment modes.

Service Tax
Printing Service Tax Enabled Sales and Purchase Voucher Types
Set Print after saving Voucher? to Yes to print a Service Tax enabled Sales and Purchase Voucher Type.

Fringe Benefit Tax
FBT Computation Report
The FBT Computation report displays accurate tax values.

Central Sales Tax
Display of Debit Note in Stock Vouchers Report
The Stock Vouchers Report at Stock Summary displays accurate Closing Stock values as well as correct Item rates and CST Values in the Outward Column for a Debit Note passed in As Invoice/As Voucher mode.

Deactivation of Form D
With effect from 1st April, 2007, Form D will no longer be tracked for CST in Tally to conform to Government regulations.

CST with/without C form
The general rate of CST on all goods with the C form has now been set at 3%. The rate of CST on all goods without the C form has been modified to the Local VAT or Sales Tax rate.

Payroll

Payslip Title
A Payslip printed for a defined period using the Multi Payslip Printing feature at Multi Account Printing displays the title Payslip for period ----- to -----.

Release 1.11

Major Enhancements
Secondary Educational Cess in Excise for Dealers
The budget for 2007 – 2008 has introduced a Secondary Educational Cess at the rate of 1% of the aggregate duties of custom and excise from March 1, 2007. To accommodate the same in Tally Excise for Dealers, we have incorporated a new type of duty Secondary Educational Cess. Incase of excise duties, Secondary Education Cess on excisable goods will be chargeable on the aggregate duties of excise (Excluding Education cess) levied on such goods. The method of calculation of the Secondary Education Cess will be the same as that of Education Cess, which was introduced in the 2004 budget. The Cess breakup will be displayed in the Dealer Excise Sales Invoice .

Rewrite of Existing Data
Tally 9 Release 1.11 prompts you to rewrite the existing Tally 9 data automatically.

Minor Enhancements
Multi-User Environment in Educational Mode
Tally 9 Release 1.11 works as a multi-user even in the Educational Mode.

Printing Declaration
While printing a Sales invoice, the option to set Print Declaration? to Yes or No appears in F12: Invoice Printing Configuration for all companies regardless of their Statutory Compliance for settings.

Declaration in Sales Invoice for Accounts Only Company
Set Print Declaration? to Yes or No in F12: Invoice Printing Configuration. The Declaration entered in the Sales Voucher Type Alteration of an Accounts Only Company will display in the Sales Invoice.

Release 1.1

Major Enhancements
New Attributes in Tally.ini
Tally introduces three new attributes to the Tally.ini file .

OptimizeNetwork

LoadBuffering

FlushFile

Download Stat.900 Version 51
Download the new Stat.900 Version 51 from www.tallysolutions.com to use West Bengal and Chattisgarh VAT Returns and TDS Enhancements in Tally Release 1.1 UNREGISTERED VERSION OF CHM TO PDF9CONVERTER PRO BY THETA-SOFTWARE

FIFO Perpetual
Tally introduces a new method of inventory valuation FIFO Perpetual, which is similar to LIFO Perpetual. The Normal FIFO treats the opening balance of the financial year as the terminating rate to apply for residual stock. FIFO Perpetual takes all existing past data. Both LIFO and FIFO Perpetual are capable of changing the valuation when the company is split OF CHM TO PDF CONVERTER PRO BY UNREGISTERED VERSION unlike their ‘Annual’ versions, which are consistent. THETA-SOFTWARE

Abatement in Service Tax
Tally now offers you the flexibility of entering the desired percentage of abatement in service tax.

Sales Invoice Printing
You can now print any number of sales invoices, with the appropriate print title.

Option to Print Invoices as Excise or VAT Invoice
Tally now offers you the option Print as Commercial Invoice at the Print Configuration screen. Set it to Yes/No to print an Invoice either in the Commercial (VAT) or Excise invoice format.

Performance and Data Migration in Tally 9
Tally 9 comes with enhanced performance and improved stability over the previous versions. The data migration tool has also been enhanced resulting in more accurate and speedier migration of data.

Minor Enhancements
Show Godown-wise Details
Use the option Show Godown-wise Details in Gateway of Tally > F12: Configure > Voucher Entry to obtain details of stocks in godowns during Voucher entry.

Display of Date and Buyer Name in Sales Sub-form
Set the option Allow separate Buyer and Consignee names to Yes in F12: Configure > Configure Invoice / Orders Entry. On entering the order number manually in the supplementary sub form of the sales voucher, the date and the name of the buyer appears automatically.

Budget
A Budget for an expenses ledger for which no transaction has been passed will display exact ledger wise values both in the Profit and Loss account and the Trial Balance.

Calculation of Cess in an Excise Purchase entry
Tally now calculates excise duty on the Assessable Value (Total purchases less Discount) as entered. Calculation of

Cess is based on the excise duty payable. For eg: Total Purchases = Rs.10000 Discount = Rs. 2000 Assessable Value= Rs. 8000 Excise duty = Rs. 1280 Cess = Rs. 26 Excise Duty:16% of Assessable Value = Rs. 1280 Cess: 2% of Excise duty = Rs. 26

Contact details in Outstanding Statement
The printout from Multi Account Printing of an Outstanding statement for a group (such as Sundry Debtors) will display the contact details for each debtor from whom bill amounts are pending.

Total Invoice Value in UK VAT
The Total Invoice amount of a sales voucher passed in the Invoice mode displays in the column Total Invoice Value of the UK VAT Analysis Output Details Report.

Tax Invoice for Indonesia
Set Enable VAT in F11: Company Features > Statutory & Taxation to Yes to display the field Is Tax Invoice? in a Sales Voucher Type Creation screen.

Bill-wise Details for Outstandings in Multi-Currency Transaction
Tally displays accurate bill-wise details in the Ledger Outstandings Report for a ledger that has an opening balance in a currency other than the Base Currency.

VAT Classification – Date Range
A VAT Classification that is applicable for a month, for example, from 1.4.07 to 30.4.07, does not appear for selection during master or voucher entry before 1.4.07 or after 30.4.07

Change in Name
The field Appears in Payslip ? in the Pay Head Creation screen of Payroll is now changed to Affect Net Salary ?

Display of Attendance Vouchers instead of Payroll Vouchers at the Gateway of Tally
The Gateway of Tally displays either Attendance Vouchers or Payroll Vouchers depending on the level of security assigned in favour of the user at Alt+F3: Company Info. > Types of Security .

Address Details in Cancelled Voucher
A cancelled sales voucher will still display the customer’s address details in the Buyer’s Details field of the supplementary sub-form.

Payroll Reports in Different Languages

Payroll Reports display PayHead, Attendance Type and the Primary Cost Category information, in the language of your preference. The Paysheet report can also be configured to display in the chosen language with correct total values.

Using Alt+C in Sales Voucher for an Accounts Only company
If you create a Sales Voucher Class in an Accounts Only type of Company and if you select the voucher class while passing a Sales entry, you can navigate to the Ledger Creation (secondary) screen and create a Ledger by pressing Alt+C, from the Particulars field.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Display of Alternative Units

If you pass a Sales entry using a Stock item, which has an Alternative Unit specified, the appropriate value and unit gets displayed in the Rate field for the next sales voucher entered.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Unadjusted Forex Gain/Loss in Balance Sheet
Following a change in the Exchange Rate, the Balance Sheet displays the appropriate Unadjusted Forex Gain/Loss amount.

Position Index
If you have created multiple voucher types under a Voucher Type and if you try to alter any of them, the Voucher Type Alteration screen will display accurate Position Index value.

Quantity Utilized in Excise Sales Invoice
While creating an Excise Sales invoice after the Quantity Utilized in the Supplier Details For sub screen is specified, the cursor moves to the Rate field in the main screen.

Computation of Payhead with On Production Calculation Type
A Payhead that uses the Calculation Type On Production shows exact values for an employee who joins work on a date later than the first of the month when: Attendance is filled using the Auto-fill option Payroll voucher is passed for a period or Payroll voucher is passed for a month

TDS Challan Bifurcations
The bifurcations of a TDS payment entry in the TDS challan agrees with its total.

Printing Daily Breakup
When you drill down from the Daily Breakup of Ledger , the Printout of a ledger voucher for a particular day will show correct opening and closing balances.

Opening Balances in the Profit and Loss Account and Balance Sheet
The Balance Sheet displays accurately the closing balance of the previous year as the current years opening balance.

Display of Additional Description for Ledgers and Items After Migration
Additional descriptions configured for Ledger and Item names during Ledger entry display accurately along with their respective values after migration from Tally 7.2 to Tally 9.

Stock Valuation Calculation
Data migrated from Tally 7.2 to Tally 9 that contains entries passed for Stock transfer from one godown to another utilizing FIFO or Average Cost as the Costing Method will show accurate quantities when you drill down from the Stock Summary Report to the Stock Voucher.

Job Costing Option While Creating the Cost Centre
The option Use for Job Costing ? can be set to Yes/No in the Secondary Cost Centre creation screen.

Form 16 for a TDS Ledger
You can generate Form 16A for a TDS Ledger even when it has been reconciled without specifying the Bank Name.

Additional Cost on a Stock Item
Additional cost on a stock item is taken into consideration for Stock Item Inwards as well as for its Closing Value.

Migration of TCP Files
UDF values, values set at each line level of the bill allocations sub form and Receivables display accurately after migration of a .tcp file from Tally 7.2 to Tally 9.

Migration of Data
Migration of Data is successful on a computer having Internet Explorer 7. Data is successfully migrated in the following cases Data Migration into another machine Statutory Master Files migration Creating a new company

Synchronization
Synchronization of data takes place successfully without duplication in Windows – 98 and Windows- ME Operating Systems.

Stock Summary Details
View accurate and detailed Stock Summary particulars of two companies using the New Column button.

Display of Stock Journal Values After UDF Migration
Default UDF values used in a Stock Journal display accurately after migration from Tally 7.2 to Tally 9.

Movement Analysis of Inventory

An Item Movement Analysis Report accurately displays Values for a stock item for the period selected.

Items in Stock Ageing Analysis
In the Stock Ageing Analysis screen, if Primary is selected at the Items Under field, the Values in the Total Quantity and bifurcated quantity columns are appropriate.

Quantity in Stock Ageing Analysis (<90 days)

UNREGISTERED VERSION OF CHM TOthe Quantity field in thePRO BY THETA-SOFTWARE accurate PDF CONVERTER (< 90 days) column displays the In the Stock Ageing Analysis screen,
values.

Column Titles in Columnar Sales Register
Tally displays column titles in the Columnar Sales Register screen in the language of your choice.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Multi Form 27D Printing
Form 27 D can be printed for a TCS ledger using Multi-Account Printing for a specified period.

Reorder Status
The Re-order level column in the Inventory Reorder Status screen displays details of actual consumption.

Column Detail in Monthly Summary Report
You can press Alt+N (Auto Column) and select any Column Detail from the list at any monthly summary report screen in Tally.

Tracking Delivery Notes
If you create a Delivery Note with Tracking Numbers enabled, and later enter a Rejection In, Tally will display only the delivery note raised against the particular customer in the List of Tracking Numbers.

Migrating Marks to Tally 9
If you have specified Marks as Exporter options in Sales or Purchase vouchers in Tally 7.2, you can migrate the same to Tally 9.

Name on Receipt
If you alter the name of a Sundry Debtor for which you have created a Receipt in the single entry mode, then the name specified in the Name on Receipt at the time of the voucher creation will be retained in the Name on Receipt field and can be altered if required when the receipt is viewed in the alteration mode.

Printing Sales voucher
If you have passed a sales entry using a Sales Voucher class where set Print after saving Voucher to Yes and view the print preview of the same voucher in the alteration mode, the VAT% amount will appear in the invoice.

Decompiling TCP
You can decompile the TCP, migrated from Tally 7.2, using the Tally Developer 2.7.

Viewing Columnar Register in a Windows XP and 98 Environment
In a Client-Server environment, if the Server and one Client have Windows XP as the operating system and

another Client has Windows 98, the Columnar Register can be viewed at ease.

Group Summary
You can specify a Period and view the Group Summary details.

Invoice Numbering
If you have enabled the Print after saving Voucher option in the Purchase Voucher Types, the Invoice numbering will appear appropriately on the Print preview for those Purchase entries.

Bill Wise Reference
If you pass a Purchase Voucher with Bill-wise Details, while Enter Purchases in Invoice Format is set to Yes in F11: Features, and later press the Page Up key, the appropriate Bill Reference and amounts are displayed.

Release 1.0
Tally 9 – The World’s Most Powerful Concurrent Multi-lingual Integrated Business Accounting Software is now enhanced with major new capabilities like Payroll, POS Invoicing, Service Tax for Malaysia, Sales Tax for Malaysia and VAT for Indonesia besides numerous minor functional improvements in the product.

New Features
Payroll POS Invoicing Multilingual Support Statutory and Taxation

Payroll
It has been integrated with accounts, in order to simplify Payroll processing. Payroll can be configured to suit the requirements of various types of organization. You can now configure, align and automate simple to complex payroll processes. You can print pay slips, maintain salary/wages and attendance/ leave/ overtime registers, and generate Gratuity and Expat reports. You can also configure Payroll Data with cost centre reports for business analysis. The enhanced Payroll in Tally 9 is now simple and allows you to generate a Payslip four easy steps.

POS Invoicing
POS Invoicing in Tally is equipped with ease of use and advanced capability to simplify your retail operations. It efficiently automates the ‘check-out’ process, and allows you to create invoices and collect payments from customers, in a matter of moments.

Multilingual Support
Tally 9 now provides the language interface support in Bahasa Melayu and Bahasa Indonesia.

Statutory Compliance and Taxation
Tally 9 now provides you with compliance of VAT for different states in India. It also provides you Service Tax for Malaysia, Sales Tax for Malaysia and VAT for Indonesia.

Minor Enhancements in Tally 9
Display of TDS Bifurcations

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
The TDS bifurcations are displayed when you book expenses for amounts in crores.

Display of Bank Reconciliation Date in Form 16A
Form 16A displays the bank reconciliation date.

UNREGISTEREDPrinted Price List CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE VERSION OF Gridlines in
Tally 9 prints the price list with grid lines. When printed, all the pages of the price list appear with grid lines.

Cost Centres with Scenario
Scenarios can be viewed in the Cost Centre Break-Up Report. For example, pass a Reversing Journal for a Cost Centre. Create a scenario and include the Reversing Journal. Go to Gateway of Tally > Display > Statement of Accounts > Cost Centres > Cost Centre Break-up Select the cost centre from the list and press Alt + C (New Column) . Select the Type of Value (Scenario), and set Show variance to Yes, to view details of its variance.

Stock Item with Different Rates in Invoice
When a stock item is repeated in an order with different rates, values and additional descriptions, the invoice displays the stock item individually, in separate lines.

Negative Quantity Warning
During invoice entry, the negative quantity warning is provided, not just on the total closing quantity of an item, but also on the quantity of a selected batch/ godown/ location of that particular item.

Exclusion of Groups for Payment and Receipt Vouchers
While creating a Class for Payment/ Receipt Vouchers, you can exclude Groups under the section, ‘Exclude these Groups,’ to prevent them from appearing during Voucher Entry. Sundry Debtors and Sundry Creditors are not included in the ‘Exclude’ list.

Report Title in Multi Account Printing
To display the Group Name as a report title when using the Multi Account Printing option, Go to Gateway of Tally > Multi Account printing > Account Books > Ledger > Group of Accounts Select the required Group.

Display of Credit Days
While passing a Purchase entry in Voucher mode, the number of credit days specified in ‘Due Date’ displays in

the Voucher under Credit Days.

Altering Single Groups in Multi Group Alteration Mode
You can alter a Single Group in Multi Group alteration mode.

Altering a Forex Purchase Transaction
When altering a Purchase invoice of a Forex transaction with Use Common Ledger A/c for Item Allocation set to Yes in F12: Configure, the Item Allocation sub-screen retains the currency selected.

Display of Surcharge in Credit Note
The surcharge paid on TCS is displayed in the Credit Note.

Period-wise VAT Forms
Enhanced memory makes it possible to open VAT Forms for any period, including the fourth quarter.

Order of Ledgers in Purchase Invoice
Set Use Common Ledger A/c for Item Allocation and Accept Supplementary Details to Yes in F12: Configure, to retain the order of additional ledgers entered in a Purchase Invoice even when you are in the alteration mode.

Invoice against Sales Orders with Additional Ledgers
You can now enter an invoice, with Use Common Ledger A/c for Item Allocation set to Yes in F12: Configure, against the sales order with additional ledgers.

Purchase Vouchers
All Purchase Vouchers with/ without VAT selected, or Purchase Voucher types, with Print after Saving Voucher set to Yes, are error-free after they are saved.

Staggered Delivery
In Tally 9, an order containing different due dates can be tracked, using a single delivery note.

Interest on Loans to Sundry Debtors/Creditors
Interest received on loans given to Sundry Debtors/ Creditors is accounted with a Debit Note/ Credit Note using a Voucher Class. The Interest Receivable Report displays only the pending interest receivable and not that for which a Debit Note/ Credit Note has been raised.

Period in TR-6 Challan
Tally 9 gives you the option of specifying the period for Service Tax payable, which is captured in the TR-6 Challan.

Setting Off Excise Duty Credit Against Service Tax Payable
Tally 9 allows you to set off Excise Duty Credit against Service Tax Payable. This excise duty credit can be availed for inputs as well as capital goods.

Display of Date of Deposit/ Payment in Form 16A
After TDS Reconciliation in Tally 9, the date of Deposit/ Payment is appropriately displayed in the TDS Form 16A.

Inclusion of New ST3 Form
Tally 9 includes the new ST3 Form of Service Tax.

TCS Surcharge Rounding Off
The TCS Surcharge Rounding Off is accurately displayed in Tally 9.

Printing Cheques in Foreign Currency UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
This is a significant enhancement. Tally 9 allows you to print a cheque in a foreign currency, Go to F12: Configuration > Printing > Payment Voucher Set Print Foreign Currency Symbol to Yes.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Performance Enhancements
Import of Statutory Masters
The speed at which Statutory Masters can be imported has been greatly enhanced.

Display of VAT Computation Report
The VAT Computation Report now displays at a greatly enhanced speed.

Display of VAT Return Report
The VAT Return Report now displays at a greatly enhanced speed.

Export of E-TDS Report
The E-TDS Report can be exported at a greatly enhanced speed.

Important tasks to be performed by existing customers
Statutory Compliance For
Users, who have upgraded from Tally 8.1 to Tally 9, have to select a country from the List of Countries at the Statutory compliance For field, to enable the statutory features of the required country in Tally 9. Go to Gateway of Tally > Cmp Info (Alt + F3) > Alter

Using TCPs Migrated to Tally 8.1 in Tally 9
Tally 9 will rewrite the format of the TCPs migrated from Tally 7.2 to Tally 8.1 and creates a backup file with the extension .BAK For example, if you migrate the Emp.tcp file to Tally 8.1, it will appear as Emp9.tcp. When the same .tcp file is loaded on Tally 9, the backup file created will appear as Emp9.BAK N o t e : You need to rename the . B A K file to . t c p, if files in Tally 8.1. you wish to use the migrated .tcp

Budgets in Tally 9

Budgets created for different periods in Tally 8.1 are combined in the First budget period itself, after migration of Tally 8.1 data to Tally 9. Hence, you are advised to manually recreate the budget in Tally 9 after migration, to avoid any possible loss of data.

New Features in Tally 8.1

Release 1.0

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Release 1.1

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Tally 8.1 - A Multilingual Business Accounting & Inventory Management Software provides support for Fringe Benefit Tax computation and VAT Composition returns generation in addition to its language capabilities.

Release 1.0

New Features
Multilingual Support Fringe Benefit Tax VAT Composition Returns Excise for Dealers

Multilingual Support
Tally 8.1 is so technologically advanced that it can operate in all Indian languages concurrently! That means, you maintain accounts in any Indian language view it in another and print it in yet another language of your choice…. at the same time! With Tally 8.1 capture multiple language-specific aliases for all Masters and print Reports, Vouchers and Invoices in the language of your choice. What’s more, Tally 8.1 supports transliteration of data for Indic family of languages.

Fringe Benefit Tax
FBT (Fringe Benefit Tax) is a one time, easy to enable configuration. Tally provides the complete tracking of expenses covered under FBT. It computes FBT based on the eligibility criterion and generates FBT Challan and returns.

VAT Composition Returns
VAT Composition Returns provides fast and error-free voucher entry with complete tracking of each transaction. The Composition Rate of VAT is automatically recognised based on the turnover. It prints VAT Composition Returns for VAT enabled states. The tax payable is calculated automatically and displays in the Return Form.

Excise for Dealers
Excise for Dealers provides complete tracking of duty credit availed and passed on. It supports printing of excise invoice and generates the required statutory reports.

Enhanced functionalities and features in Tally 8.1
Tally 8.1 is performance driven. Its enhanced features include: Language directory Ability to restore Tally 7.2 data within minutes Easy import and export of data User interface colours that are even more pleasing to the eye Speed of operation with extensive reduction of the Stat.900 file size Choice of multilingual options Multi-language printing options Ability to copy text from Tally to windows and vice versa Miscellaneous features

Language Directory
Language files (.dct) reside in the Language Directory . Specify this path at the time of installation or in the Tally.ini file. To change the Language directory path in the Tally.ini Open Tally.ini file from the Tally installed folder.

Enter the path where the language files are present.

Save and close the file.

Restore Process of 7.2 Data
Tally 8.1 does not recognise Tally 7.2 data backup files. You can restore Tally 7.2 data by clicking the

tally72migration icon in the Tally 8.1 folder. Specify the destination and source files in Select Companies to Restore. The Migrate Data option completes the process. The 4 digit number 7.2 number is prefixed by 0, making it a 5 digit 8.1-compatible number. Refer to Restore 7.2 backup in Tally Data Migration tool section for more details.

Import of Masters and Vouchers
Tally now supports only the XML format to import Masters and Vouchers.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Export
If you select Multilingual from the language list during export, then Tally allows you to Export in three formats ASCII (Comma-delimited), HTML (Web-publishing) and XML (Data-interchange) .

UNREGISTEREDand XML (Data-interchange)PDF CONVERTER PRO BY THETA-SOFTWARE delimited) VERSION OF CHM TO .
N o t e : By default, Tally does SDF format, you can download not the support SDF format. However, if S D F E x p o r t I m p o r t . T C P utility you wish from the

If you select English from the language list, then Tally allows you to Export in two formats - ASCII (Comma-

to use the Tally website.

Stat.900
Tally 8.1 has now been enhanced with features that speed up your operations. The Stat.900 file size has now reduced extensively. This improves the performing speed while creating or importing a company.

Colours
The user interface has now changed to more appealing colours aimed at enhancing your use of Tally. By default, Tally 8.1 screens display in a new colour as the colour quality is set to Highest (32 bit). However, to retain the usual display of Tally: Go to Desktop > Display properties> Settings > Set the Color quality to Medium (16 bit) > Restart Tally

Tally’s Phonetic Keyboards
Tally’s Phonetic keyboard is useful for those who speak the language but do not know how to type it using the operating system keyboard. It is user friendly with the same layout as that of the English characters. You can spell the term based on its sound and the data is transliterated in the language selected.

Print language
You can print documents and reports in the language of your choice in Tally. For instance, while printing the following voucher, select Alt+ L to bring up the Print Language Configuration prompt.

Select the language of your choice. The printed document displays as shown.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Major Changes and Enhancements
There may be minor variation in reports during migration of data from Tally 7.2 to Tally 8.1 due to the changes listed below:

LIFO and FIFO valuation method
Sales and Purchase vouchers passed on a single day now display in the Stock vouchers report in the order of their entry thus ensuring effective functioning of LIFO and FIFO Stock valuation methods. For example, In Tally 7.2, A purchase invoice followed by a sales invoice and then again a purchase invoice will display in the stock vouchers report with all the sales entries listed first followed by all the purchase entries. Tally 8.1, however, displays the vouchers in the order of their entry –Purchase – Sales – Purchase.

Std Cost and Std Price Valuation method
If you have not set Set Standard Rates? in Stock Item masters but have set Costing Method to Std Cost and Market Valuation Method to Std. Price. In Tally 7.2, the First Purchase cost was taken into consideration for the Std Cost Valuation and the First Sale price for Std Price valuation methods. However, Tally 8.1 accurately considers the Last Purchase cost for Std Cost Valuation and the Last Sale Price for Std Price valuation

Average Cost
When Multiple Sales and Purchases are made against Receipt and Delivery Notes at a rate different from that specified in the Receipt and Delivery notes For Example: Let us assume you have passed a Receipt Note for 100 nos. of an item @ Rs. 100 per item. Subsequently you pass a Purchase Invoice for 30 nos of the item @ Rs. 120 against the above Receipt Note. This means that some items are still pending against the tracking number. In Tally 7.2, the difference in the rates would be incorrectly included in the original value The balance sheet viewed with Avg. Cost valuation method displays closing stock values at Rs. 10,600. This has been resolved in the new Tally 8.1, which accurately displays the Avg. Cost closing stock valuation in the balance sheet as Rs. 10,000.

On Account values were being taken as 'overdue' in Ratio Analysis in 7.2
In Tally 7.2, On Account values were taken into consideration while calculating values for Due till today in Ratio Analysis. Tally 8.1 has resolved this and displays only the outstanding values in Due till today. (for Sundry Debtors and Creditors)

Pending Tracking number values were approximate, even though quantities were accurate (causing few Paise difference depending on context)
Tally 7.2 used to display pending Delivery/Receipt with approximate values, causing a small difference in the values. Tally 8.1 has resolved this and displays the pending Delivery/Receipt Notes values accurately.

Miscellaneous Changes and Enhancements Tallysav.dat file
The Tallysav.dat file in the tally folder is now Tallysav.tsf.

Tally_req.slk and Tally_resp.slk files
The tally_req.slk file, which is generated while activating the Tally license, is now tally_req.lic.

Similarly, the tally_resp.slk file, which is generated as a response from the Tally Internet Services server, is now tally_resp.lic .

Tally Data files
The Tally 8.1 data file now consists of 5 digits. The numbering of a company created in Tally 8.1 starts with 10000. Additional companies created will be suffixed with 10001, 10002, 10003 and so on. However, when you migrate Tally 7.2 data to digit-data UNREGISTERED VERSION OFExample: 00001,Tally 8.1, the 4on….. PRO file inTHETA-SOFTWARE CHM TO PDF CONVERTER BY the 7.2 folder is converted digit-data file with 0 prefixed. 00002 and so to a 5

Loading Icon

The Tally Clock is OF CHM with the CONVERTER UNREGISTERED VERSIONnow replacedTO PDFWindows Wait icon PRO BY THETA-SOFTWARE

Close Button
To quit any Tally screen, you now have an option apart from the displays on the right of every screen in Tally. Click the Close Esc key on the keyboard. The following button button to quit the current screen.

Copying Text From Tally to Windows
Copying text to and from Tally to Windows is now a simple process. Use Ctrl+Alt+V to paste text into Tally. Ctrl+Alt+C to copy text from Tally and

Release 1.1 E-Mail Authentication
While mailing reports in Tally, the E-Mail Server now accepts the Authentication User Name and Password.

Multi-accounting Allocation
When you rewrite a company, the vouchers with multiple accounting allocations will be retained if Use Common Ledger A/c for Item Allocation is set to No.

Synchronization of Altered Transactions
Synchronization is possible even when data migrated from Tally 7.2 consists of cancelled vouchers.

Cost Centre Class in Stock Journal
In Tally 8.1 you cannot select Cost centre class while creating Stock Journals as it is not applicable.

Migration
The process of Migrating Data to Tally 8.1 is now effectively enhanced.

Migrating Currencies
Multiple currencies can now be easily migrated to Tally 8.1.

Forex Gain Loss Calculations
Tally 8.1 displays accurate Debit and Credit amounts in the Ledger Forex Gain/Loss report unlike Tally 7.2 in which Debit amounts were displayed as Credit and vice versa.

Introduction

When you install Tally, a folder named Tally is created by default, where the program files will reside. You can specify a different folder name, if you wish.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
System Requirements
To install Tally, your system must meet the following minimum requirements.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE System Requirements
Intel Pentium IV and higher or equivalent Processor 256 MB RAM or more Memory 40 MB Minimum (excluding the data) Free Hard Disk Space Recommended 1024 x 768 or higher Monitor Resolution
N o t e : For better performance Free Hard Disk Space) Tally Multilingual needs more memory (about 40MB of

Configuration

Operating System Requirements for Tally Multilingual

Operating System

Support for Indian Scripts in Windows version

Windows 95 Windows 98 Windows ME

Does not support Unicode

Windows NT

Supports Unicode but not Indic languages

Windows 2000

Supports Unicode and the following Indic languages:

Hindi

Marathi

Tamil

Windows XP

Supports Unicode and the following Indic languages:

Hindi

Marathi

Tamil

Telugu

Kannada

Punjabi

Gujarati

Windows 2003

Supports Unicode and the following Indic languages:

Hindi

Marathi

Tamil

Telugu

Kannada

Punjabi

Gujarati

Windows XP SP2

Supports Unicode and the following Indic languages:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Hindi
Marathi

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Tamil
Telugu

Kannada

Punjabi

Gujarati

Bengali

Malayalam

Pre-Installation

To install Tally in Windows NT/2000/XP/2003/XP SP2 Workstation, 1. You need to have administrator/all rights (to create, write, update, modify and delete) on the Application, Data, Configuration and Language directory. Ensure that the Operating System you use supports Tally for Multilingual support.

2.

Installing Tally

You can install Tally using one of the given methods.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Method 1:
Double click install.exe from the CD.

Method 2: UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Click START from Windows. Select RUN. TYPE <CD drive>:\INSTALL. Press ENTER key.

Follow the instructions on your screen to install Tally. 1. The Tally Setup Wizard is displayed.

2.

1.

2. 3.

Click Next to continue The Installation wizard displays the License Agreement. Read the license agreement before you proceed. Click I Agree to continue. Click I Decline to stop setup or click Back to go to the previous screen.

3.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

4.

In the Installation screen, you may accept the suggested directories. Else click Change Application Directory or Change data Directory or Change Configuration Directory or Change Language Directory to change the respective directory paths. Use Tab or the mouse to change the path in any of the directories.

Application Directory The Tally program files reside in this directory.

Data Directory The Tally data resides in Data directory. The default directory where data is stored is C:\Tally\Data. To change click on Change Data Directory button and enter the new directory. When Tally is installed in a directory with an earlier version, it detects and retains the data configuration path of the previous installation.

Configuration Directory Tally configuration files reside in this directory. Specify the path of the directory where configuration files should be saved. It is usually the same path as that of the Application directory.

Language Directory Tally Language files (.dct) reside in this directory. Specify the path of the directory where the Language files will be maintained. It is usually the same path as that of the Application Directory. Note: If you are a Multi-License User, select the Run Tally License Server at

Windows

Startup

check

box.

During installation, you are prompted to specify the path and the OS files to install the Indic languages. 5. 6. Click Install Operating System Language Support to enable Language Support. Select your Country name in Country Selection.

7. Select the Initial Startup Language from the list. When you start Tally for the first time, Tally will UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE appear in the language selected as the Initial Startup Language (screen).

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

8. 9.

Once you select the Initial Startup Language, Click Install to proceed with the installation. The installation progress status is displayed as shown below.

9.

10.

Insert Windows CD to install language or Browse for the i386 folder in your system.

N o t e: You will be available in your

prompted system

to

install

the

i386

language

support

folder

only

if

it

is

not

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

11.

Click Finish to complete Setup.

After completing installation, double click Tally icon on the desktop to start working on Tally.

Tally.ini

The Installation program loads the Tally.ini file in the Tally programs or applications directory. This is a CONFIGURATION SETTINGS file, which Tally refers to, for some basic settings when starting. The file content appears as shown:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

1.

The Data, Configuration and Language directories appear in the Tally.ini file as specified at the time of installation. However, you can change the respective directory paths by specifying it in the Tally.ini . If you want to load a company automatically on starting Tally, enter the number in the line Load as per the information available in the data directory.

2.

3.

2.

3. 4.

You can specify the name or path of the TCP(s) (Tally Compliant Product), if any, after the User TDL field. You can set Color to NO, if you do not want to view the screens with the default colours of Tally.

N o t e : The lines in the T a l l y . i n i file prefixed by two semi-colons indicate that features are not enabled. The only way to override these defaults is removing colons in the T a l l y . i n i . Tally introduces three attributes to the .ini file.

those the semi-

OptimizeNetwork

LoadBuffering

FlushFile

OptimizeNetwork in Tally.ini
Setting OptimizeNetwork to No in Tally.ini reduces memory requirements and prevents the system from going into a virtual memory mode although it slows down the generation of reports. However, for users with a large volume of data, it is advised to use more than 500 MB of free memory and set OptimizeNetwork to Yes . This increases load speed dramatically and generates reports faster. The settings can be changed in accordance with client memory available. By default, Optimize Network in Tally.ini is set to No.

LoadBuffering in Tally.ini
Certain types of data (such as, a large number of Batches, Godowns and Tracking numbers) very quickly exhaust the available memory, when information is cached during loading. Set LoadBuffering in the Tally.ini to No , to reduce this buffering, although it will result in a marked increase in network traffic. For a lower volume of data (such as, a large number of masters and stock items, but a smaller number of batches, Godowns and Tracking numbers), it is advised to set LoadBuffering to Yes By default, LoadBuffering in Tally.ini is set to Yes.

FlushFile in Tally.ini
For both Single and Multi users of Tally, it is practical to set FlushFile to No to facilitate Faster acceptance of Masters and Vouchers as well as a marked improvement in accessing network data. However, this could be risky in places with frequent power problems and without Power Backups. In which case, it is advised to continue with the Tally.ini default setting FlushFile to Yes By default, FlushFile in Tally.ini is set to Yes .

Shortcut keys in Tally

The shortcut keys appear in button names in the button bar (right side of the Tally screen). You can either click the button from the button bar or press the relevant function key or character underlined/double-underlined. The buttons VERSION OF CHM the button names ( Eg: F1: Select Cmp) which means you need UNREGISTEREDhave a function key beforeTO PDF CONVERTER PRO BY THETA-SOFTWARE to press F1 key (Function Key) to select the 'Select Company' screen The buttons have an underlined character ( Eg: F3: Cmp Info), which means you need to press ALT + F3 to select the 'Company Info' screen. Some buttons have a double-underlined character (Eg: V: As Voucher) which means you need to press CTRL + V to select the VERSION OF CHM TO UNREGISTERED 'Voucher' in voucher mode. PDF CONVERTER PRO BY THETA-SOFTWARE

More: Function Key Combination Special Key Combination Special Function Key Combination Key Combination used for navigation

Function Key Combination

Windows F1 F1

Functionality To select a company To select the Accounts Button

Availability At all masters menu screen At the Accounting alteration screen Voucher creation and

F1 (ALT+F1)

To select the Inventory Button

At the Inventory/Payroll Voucher creation and alteration screen

F1 (CTRL F1) F2

+

To select Payroll Vouchers to alter

At the Accounting/Inventory voucher creation or alteration screen. At almost all screens in TALLY At the F11: Features screen

To change the current date To select company inventory features

F3

To select the company To select Company Statutory & Taxation features

At almost all screens in TALLY At F11: Features screen

F4

To select the Contra voucher

At Accounting / Inventory Voucher creation and alteration screen At Accounting / Inventory Voucher creation and alteration screen At Accounting / Inventory Voucher creation and alteration screen At Accounting / Inventory Voucher creation and alteration screen At Accounting / Inventory Voucher creation and alteration screen At Accounting / Inventory Voucher creation and alteration screen

F5

To select the Payment voucher

F6

To select the Receipt voucher

F7

To select the Journal voucher

F8

To select the Sales voucher

F8 (CTRL+F8)

To select the Credit Note voucher

F9

To select the Purchase voucher

At Accounting / Inventory Voucher creation and alteration screen At Accounting / Inventory Voucher creation and alteration screen At Accounting / Inventory Voucher creation and alteration screen At Accounting / Inventory Voucher creation and alteration screen At almost all screens in TALLY

F9 (CTRL+F9)

To select the Debit Note voucher

F10

To select the Reversing Journal voucher

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
F10 (Ctrl F10) F11 + To select the Memorandum voucher

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
F12 To select the Configure screen At almost all screens in TALLY

To select screen

the

Functions

and

Features

Special Key Combination

Windows ALT + 2

Functionality To Duplicate a voucher

Availability At List of Vouchers – creates a voucher similar to the one where you positioned the cursor and used this key combination

ALT + A

To Add a voucher

At List of Vouchers – adds a voucher after the one where you positioned the cursor and used this key combination. Alters the column in all the reports which can be viewed in columnar format At voucher entry and alteration screens, at a field where you have to select a master from a list. If the necessary account has not been created already, use this key combination to create the master without quitting from the voucher screen.

To Alter the column in columnar report

ALT + C

To create a master at a voucher screen (if it has not been already assigned a different function, as in reports like Balance Sheet, where it adds a new column to the report)

To access Auto Value Calculator in the amount field during voucher entry ALT + D To delete a voucher To delete a master To delete a column in any columnar report (if it has not been already assigned a different function, as explained above) ALT + E To export the report in ASCII, Excel, HTML OR XML format To insert a voucher

At all voucher entry screens in the Amount field

At Voucher and Master (Single) alteration screens. Masters can be deleted subject to conditions, as explained in the manual. All the reports screen which can be viewed in columnar format

At all reports screens in TALLY

ALT + I

At List of Vouchers – inserts a voucher before the one where you positioned the cursor and used this key combination. At creation of sales and purchase invoice

To toggle between Item and Accounting invoice ALT + L ALT + K To select the Language Configuration To select the Keyboard Configuration

At almost all screens in TALLY. At almost all screens in TALLY.

ALT + O ALT + L ALT + M ALT + N ALT + P ALT + R

To upload the report at your website To select language for Tally Interface To Email the report To view the report in automatic columns To print the report To remove a line in a report

At all reports screens in TALLY At almost all screens of TALLY At all reports screens in TALLY At all the reports where columns can be added At all reports screens in TALLY At all reports screens in TALLY

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

ALT + S To bring back a line you removed using At UNREGISTERED VERSION OF CHM TO PDF CONVERTER all reports screens in TALLY PRO BY THETA-SOFTWARE ALT + R ALT + U To retrieve the last line which is deleted using Alt + R From Invoice Journal screen screen to bring Stock At all reports screens in Tally

ALT+ V

At Invoice screen à Quantity Field à Press Alt + V to select the Stock Journal. At all reports screens in TALLY At all voucher screens in TALLY

ALT + W ALT + X

To view the Tally Web browser. To cancel a voucher in Day Book/List of Vouchers To Register Tally To accept a form – wherever you use this key combination, that screen or report gets accepted as it is. To select the Budget

ALT + R CTRL + A

At almost all screens in TALLY. At almost all screens in TALLY, except where a specific detail has to be given before accepting.

CTRL + B

At Groups/Ledgers/Cost Centres/ Budgets/Scenarios/Voucher Types/ Currencies (Accounts Info) creation and alteration screen At all the menu screens

CTRL + ALT +B CTRL + C

To check the Company Statutory details

To select the Cost Centre

At Groups/Ledgers/Cost Centres/ Budgets/Scenarios/Voucher Types/ Currencies (Accounts Info) creation and alteration screen At Stock Groups/ Stock Categories/ Stock Items/ Reorder Levels/ Godowns/ Voucher Types / Units of Measure ( Inventory Info) creation/alteration screen At Groups/Ledgers/Cost Centres/ Budgets/Scenarios/Voucher Types/ Currencies (Accounts Info) creation and alteration screen

To select the Cost Category

CTRL+ E

To select the Currencies

CTRL + G

To select the Group

At Groups/Ledgers/Cost Centres/ Budgets/Scenarios/Voucher Types/ Currencies (Accounts Info) creation and alteration screen At Stock Group/ Stock Categories/ Stock Items/ Reorder Levels/ Godowns/ Voucher Types / Units of Measure ( Inventory Info) creation/alteration screen At all menu screens

CTRL + I

To select the Stock Items

Ctrl + Alt + I CTRL + L

To import statutory masters

To select the Ledger

At Groups/Ledgers/Cost Centres/ Budgets/Scenarios/Voucher Types/ Currencies (Accounts Info) creation and alteration screen At the creation and alteration of Vouchers At Stock Group/ Stock Categories/ Stock Items/ Reorder Levels/ Godowns/ Voucher Types / Units of Measure ( Inventory Info) creation/alteration screen At almost all screens in TALLY.

To mark a Voucher as Optional CTRL + O To select the Godowns

CTRL + Q

To abandon a form – wherever you use this key combination, it quits that screen without making any changes to it. To repeat narration in the same voucher type Rewrite data for a Company

CTRL + R

At creation/alteration of voucher screen

CTRL + Alt +R CTRL + S

From Gateway of Tally screen

Allows you to alter Stock Item master

At Stock Voucher Report and Godown Voucher Report At Stock Groups/ Stock Categories/ Stock Items/ Reorder Levels/ Godowns/ Voucher Types / Units of Measure ( Inventory Info) creation/alteration screen At Groups/Ledgers/Cost Centres/ Budgets/Scenarios/Voucher Types/ Currencies (Accounts Info) creation and alteration screen At creation of Sales/Purchase Voucher screen

CTRL + U

To select the Units

CTRL + V

To select the Voucher Types

To toggle between Invoice and Voucher

Special Function Key Combination

Windows

Functionality

Availability

UNREGISTERED VERSION a company TO PDF CONVERTER PRO BY THETA-SOFTWARE ALT + F1 To close OF CHM At all menu screens
To view detailed report To explode a line into its details To select Inventory vouchers to alter At almost all report screens At almost all screens in TALLY At the Inventory/ Payroll voucher creation or

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PROscreen. alteration BY THETA-SOFTWARE
ALT + F2 ALT + F3 To change the period To select the company info menu To create/alter/shut a Company ALT + F4 To select the Purchase Order Voucher Type To select the Sales Order Voucher Type To view monthly and quarterly report At almost all report screens in TALLY ALT + F6 To select the Rejection Out Voucher Type To change the Sales Order Voucher Type ALT + F7 To select the Stock Journal Voucher Type To accept all the Audit lists At TallyAudit Listing screen ALT + F8 To select the Delivery Note Voucher Type To view the Columnar report At Ledger Voucher screen ALT + F9 To select the Receipt Note Voucher Type At almost all screens in TALLY At Gateway of Tally screen

At Accounting / Inventory Voucher creation and alteration screens At Accounting / Inventory Voucher creation and alteration screens

ALT + F5

At Accounting / Inventory Voucher creation and alteration screens

At Accounting / Inventory Voucher creation and alteration screens

At Accounting / Inventory Voucher creation and alteration screens

At Accounting / Inventory Voucher creation and alteration screens At Accounting / Inventory Voucher creation and alteration screens At almost all report screens

ALT + F10

To select the Physical Stock Voucher Type To filter the information monetary value based on

ALT + F12

Ctrl + F1

To select payroll vouchers for alteration

At the Accounting/Inventory Voucher creation or alteration screen At Gateway of Tally

CTRL + ALT + F12

Advanced Config

Key Combination used for navigation

Windows

Functionality

Availability

UNREGISTERED VERSION previous voucherPDF CONVERTER voucher entry and alteration screens PgUp Display OF CHM TO during voucher At PRO BY THETA-SOFTWARE
entry/alter

PgDn

Display next entry/alter

voucher

during

voucher

At voucher entry and alteration screens

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
ENTER To accept anything you type into a field. To accept a voucher or master To get a report with further details of an item in a report. ESC To remove what you typed into a field To come out of a screen To indicate you do not want to accept a voucher or master. SHIFT ENTER SHIFT ENTER + Collapse next level details At Voucher Register screen and Trial Balance report In almost all Reports: At a Group/Stock Group/Cost Category/Godown/Stock Category – displays Sub Groups and Ledgers/Stock Items/Cost Centres/Secondary Godowns/Secondary Stock Categories At a Voucher – displays its entries and narration At a Stock Item- displays its godowns and batch details At Voucher Register screen – displays the next level details At Trial Balance report - displays the next level details CTRL ENTER + To alter a master while making an entry or viewing a report At voucher entry and alteration screens At all reports You have to use this key at most areas in TALLY At the receivables report – press Enter at a pending bill to get transactions relating to this bill (e.g., original sale bill, receipts and payments against this bill, etc) At almost all screens in TALLY.

+

To explode a line into its details

Licensing

Introduction

UNREGISTERED VERSION OF CHMlicensing options: Tally provides you with two types of TO PDF CONVERTER PRO BY THETA-SOFTWARE
Single-User Licensing

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
TallySilver for Single-User
Single-user Licensing allows the deployment of Tally on a SINGLE computer with an option of activating it Online or Offline. You can also choose to use the same Tally license on another computer, by surrendering the license activated on a computer and reactivating it on the other. An Offline user takes the request file generated by Tally, to a computer, which has Internet connectivity, and activates the license.

Multi-User Licensing

TallyGold for Multi-User
Multi-user Licensing feature facilitates the use of Tally on ANY NUMBER of computers connected to a local area network (LAN). The method of activation is similar to that of a Single-User License Once a Multi-User license is successfully installed on computer designated as the License Server, you can start up Tally when Windows starts and run as a service in the background. The other computers, designated as License clients can install Tally, and set the parameter TallyLicenseServer (E.g Servername:Port Number) in the configuration file also known as the Tally.ini file. Note: 1. If you work on Windows XP and have a firewall installed, ensure that the firewall allows license clients access to the Server Port. 2. On the Client computer, there are few significant parameters set by default in Tally.ini file viz., TallyLicense = Connect and T a l l y L i c e n s e S e r v e r = server:port

Activation Form

The Activation Form is displayed, when you run Tally after installation for both Single User and Multi User licensing systems.

Enter the Serial, Key and E-mail, if you are connected to Internet. Else, press Esc or Ctrl+Q to quit this form. More: For Users Connected to the Internet For Users not Connected to the Internet

Licensing Menu

To view the licensing menu, Go to Gateway of Tally > F12: Configure > Licensing

Single-User UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
The License menu displays as shown

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

List Add-ons
To view additional features enabled in Tally. Go to Gateway of Tally > F12: Configure > Licensing > Add-ons

Online
This option allows you to activate Tally License Online. The term online indicates that your computer is connected to the Internet.

Offline
This option allows you to activate Tally License Offline. The term Offline indicates that your computer is not connected to the Internet.

Quit
This option enables you to quit the licensing menu.

Multi-User

In multi-user environment, the License menu on the License server displays all the options available to a singleuser. On the License client computers, the options Online and Offline do not exist, as shown:

To view the licensing menu Go to Gateway of Tally > F12: Configure > Licensing

Activating Tally

This section explains how to activate Tally for Single-User and Multi-User systems:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Activating Tally for Multi-User

Activating Tally for Single-User

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Activating Tally for Single-User

For Users Connected to the Internet
Activate your license by using the Online option available in F12: Configure > Licensing > Online> Activate To activate your license: 1. 2. Start Tally. Tally displays Online Activation Form with three fields. Enter the correct Serial and Key, and Email - ID in the Activation form that displays and press Enter to proceed. Tally connects to the Tally Internet Services Server to validate your registration information. On entering the correct Serial and Key, a message displays indicating that your license is activated.

3. 4.

Once the license is activated, go to F12: Configure > Licensing > Online to view the Online Menu

The Online menu has two options: Update: This option helps you to update new features of Tally and validate your Tally License. Surrender: This option helps you to surrender the Tally License.

For Users not Connected to the Internet

If your computer does not have an Internet connection, you can activate your Tally license using the Offline option. Go to F12: Configure > Licensing > Offline > Activate

To activate your license:
1. When you start Tally, an Activation Form dialog window will be displayed. As you do not have an Internet connection, press Esc or Ctrl+Q to quit this form.

UNREGISTEREDF12: Configure > CHM TO > Offline> Activate PRO BY THETA-SOFTWARE 2. Press VERSION OF Licensing PDF CONVERTER
3. Tally displays the Offline Activate Form with three fields. If the Serial, Key and Email Id are correct, a message displays indicating that the tally_req.lic file has been successfully generated. Copy the tally_req.lic file in the Tally folder on a floppy/CD and take it to any computer with Internet

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE connectivity.
Important: Tally must be installed in the computer with Internet Connectivity. 5.

4.

Paste the tally_req.lic file to the Tally folder on this computer, start Tally and go to F12: Configure > Licensing > Offline

6.

Click on the Send External Request option to send the request to Tally Internet Services server. The response will be saved in a new file called tally_resp.lic, which will be generated in the Tally folder. Copy the tally_resp.lic file into a floppy or CD, from the Internet connected computer and paste the file into the Tally folder of your computer. Start Tally, Tally will display the below screen:

7.

8.

8.

You are now ready to use Tally. Important: If you desire to make any changes to your Hardware, such as Hard Disk or Removable Storage Devices, it is recommended that you surrender the License from your computer, before initiating these changes. Else, Tally will switch to Educational mode.

Activating Tally for Multi-User

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Setting Tally License Server

The method of activation is similar to that of a single user. The license is first installed and activated on the computer designated as the License Server and later on other computers on the network designated as License Clients.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

During the installation of Tally, select the Run Tally License Server at Windows Startup (For TallyGold Users) check box. This will enable the user to have Tally start when Windows starts and run as a service in the background on the server computer. If you fail to select the Run Tally License Server at Windows Startup (For TallyGold Users) check box, you can use this alternative method to activate Tally:

1.

Double-click TallyLicServer.exe found in Tally directory. A dialog box appears which comprises the following elements:

Install

To install the multi-user license on the server, press Install button

Uninstall

To uninstall the multi-user license previously installed, if any, press Uninstall button. 2. 3. Click on Install button After installation of Tally on the client computer, open Tally.ini file found in Tally directory and set the following parameters:

TallyLicenseServer = Name of the License Server Computer or IP Address of the Server . Important: If you desire to make any changes to your Hardware, such as Hard Disk or Removable Storage Devices, it is recommended that you surrender the License from your computer, before initiating these changes. Else, Tally will switch to Educational mode.

Converting Tally Hard Lock to Tally Soft Lock

This section provides information on how Hard Lock users of Tally can convert to the more secure environment of Tally Soft Lock. It is applicable for both Single-User and Multi-User licenses. Pre-requisites for conversion: In a multi-user environment, the Hard Lock should be present on the computer where you want to run Tally License. If Tally Hard Lock is not connected to the Computer on which you want a Soft Lock, the following message displays:

Warning: The process of conversion of Hard Lock to Soft Lock is a one-time activity and cannot be reversed.

Single-User Hard Lock Conversion

Single-User with Internet Connection (online):

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Conversion Form:
The Conversion Form is displayed when Tally starts. Tally looks for the Soft Lock in the system. If it is not found and if TallyLicense = Connect is not present or commented out in tally.ini file, it runs lockconverter.exe , which is present in Tally Installation folder.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Enter only the Email-ID and accept the screen. The Serial Number displayed on this screen is same as the Hard Lock Serial Number. The response goes to the TSPL server and the Hard Lock gets converted to a new Soft Lock . A Conversion Details screen is displayed showing the successful conversion with a new Serial Number and Activation Code .

N o t e : The Information regarding the newly generated Soft Lock can also Installation folder. If any error occurs file named Converter.Log, which can

Serial Number and the Activation Code of the be found in Conversion.txt file in the Tally during the process, it will be captured in a log be found in the Tally Installation folder.

Single User without Internet Connection (Offline):
The Conversion Form is displayed. Press Esc or CTRL + Q to quit this form and follow the steps given. Go to F12: Configure > Licensing > Offline > Convert 1. An Offline conversion form is displayed prompting you to enter the Email ID . The serial number displayed on the form is the serial number of Hard Lock, which is connected to your machine and cannot be edited. Enter the Email ID and accept the form. If your Serial and Email are found correct, a message displays indicating your generated. This file available in the Tally folder. tally_req.lic is successfully

2.

3.

Copy the tally_req.lic file from the Tally Folder on to a floppy/CD and take it to any computer with Internet connection and having Tally installed on it. Paste the tally_req.lic file in the Tally folder on this computer, start Tally and go to F12: Configure > Licensing > Offline . Click on the Send External Request option to send the request to Tally Internet Services server. The response will be saved in a new file called tally_resp.lic . Copy the tally_resp.lic file into a floppy/CD and paste the file into the Tally folder of your computer. When you start Tally, a Conversion Details screen displays indicating successful conversion of Hard Lock to new Soft Lock with Serial Number and the Activation code.

4.

5.

6. 7.

Multi-User Hard Lock Conversion

The Conversion procedure for Multi-User environment is similar to Single-User Conversion. License Server. UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE The License Clients need to connect to the License Server to get the Soft Lock, once conversion is complete on the

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Registering Tally

To get support, service and regular updates, users of Tally need to be registered. The procedure for registering Tally is the same for single and multi-user systems. Tally provides you an option to register later as well. Go to F12 > Licensing and click Register Yourself button from the button bar. The following screen is displayed on successful activation.

You can also set a reminder for registration for a later time. Set the optional field Remind me later to Yes and Tally will remind you to register at periodic intervals. If you set this to No, reminders will not be generated. More: Registering Tally-if you have an Internet connection Registering Tally-if you do not have an Internet connection

If you have an Internet Connection

To register Tally,

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
The Login screen displays 1. 2. 3. 4. 5. Enter the Serial number printed on the CD cover. Enter the Key printed inside the CD cover. Click Login to proceed. The Registration screen is displayed. Enter your details in the form. Click Save.

Go to Gateway of Tally > F12: Configure > Licensing > Click Register Yourself button

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

You will get a message confirming your registration. You can also register your Tally by clicking on the Register Yourself link at www.tallysolutions.com.

If you do not have an Internet connection

If your computer does not have an Internet connection, register Tally from a computer connected to the Internet by clicking on the Register Tally link at www.tallysolutions.com. 1. 2. 3. 4. Enter the Serial number and Key in the Login screen Click the Login button The Registration screen displays. Enter your details in the form and click on Save A message displays confirming your registration

Validating Tally

The procedure for validating Tally is the same for single-user and multi-user systems. The license has to be validated within 45 days of activation. Tally will prompt you to validate the license, before the expiry period. More: UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Validating Tally-if you have an Internet connection Validating Tally-if you do not have an Internet connection

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

If you have an Internet connection

If you are an Online user who connects to the Internet occasionally, Tally will display the message Your License is about to expire! Please re-activate. Connect to the Internet and validate the license manually using F12: Configure > Licensing > Online > Update

This is a one-time process.

If you do not validate within the time period, Tally will switch to Educational mode.

If you do not have an Internet connection

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

If you are not connected to the Internet, Tally will display Your License is about to expire! Please re-activate message. You can validate the license on any computer with an Internet connection. Follow the procedure explained in the section on If you do not have an internet connection in Activating TallySilver for Single-User. Once the procedure is complete validate the license manually on your computer using F12: Configure > Licensing > Offline > Update License .

This is a one-time process.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
If you do not validate within the time period, Tally will switch to Educational mode.

Note: T a l l y.

The

Offline

user

needs

to

use

a

computer

connected

to

the

Internet

to

Register

Surrendering Tally License

If you want to use Tally on another computer, surrender the license activated on your computer using the option Surrender from F12 > Licensing > Online/Offline. Important: If you desire to make any changes to your Hardware, such as Hard Disk or Removable Storage Devices, it is recommended that you surrender the License from your computer, before initiating these changes. Else, Tally will switch to Educational mode. The procedure followed for surrendering the license is the same for both single-user and multi-user systems.

For Online Users
1. 2. Go to F12: Configure > Licensing > Online > Surrender The surrender License request is sent to Tally Internet Services Server. If it gets a valid response, the license file in the Tally folder is deleted On surrendering the license, Tally will function in Educational mode You can now activate the same license on a different computer

3. 4.

For Offline Users
1. 2. 3. 4. Go to F12: Configure > Licensing > Offline > Surrender Press Enter to proceed A message displays Offline Surrender Request tally_req.lic file is successfully generated Copy the tally_req.lic file that is available in the Tally folder to a floppy/CD and take it to any computer with Internet connectivity, having Tally installed on it Paste the tally_req.lic file to the Tally folder on this computer, start Tally and go to F12: Configure > Licensing > Offline

5.

5.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

6. 7.

Click on the Send External Request option to send the surrender request to Tally Internet Services server Your Tally License is successfully surrendered and is ready for use on another computer.

Note: If you Surrender the license activated on Tally 9, both switch to Educational mode. You need to activate the license activating the license on Tally 7.2.

Tally 7.2 on Tally

and 8.1

Tally 9 before

will

Upgrading from Tally 8.1 to 9

Single User Upgrade Process
1. 2. 3. Install Tally 9 in a new folder on your computer Start Tally 9 An Activation Form displays as shown

4. 5.

Enter your Serial, Key, Email and Accept A Congratulations message displays as shown

6.

5.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

6.

You are now ready to use Tally 9 in the licensed mode

Multi User Upgrade process On the Server Computer
1. 2. 3. Install Tally 9 in a new folder on the server computer Execute Tally 9 An Activation Form appears as shown below

4. 5.

Enter your Serial, Key, Email and Accept A Congratulations message appears as shown

5.

6.

You are now ready to use Tally 9 in the licensed mode.

On the Client Computer:
1. 2. Install Tally 9 into a new folder on your computer Open Tally.ini file found in Tally folder and set the following parameter

TallyLicenseServer = server : port (Where server is the Name or IP of License Server Computer and port is the being 9000) 3. You are now ready to use Tally 9 in the licensed mode Port Number, default port

Upgrading Hardlock users from Tally 6.3 / 7.2 to Tally 9

Hardlock users need to ensure that the TallyLock is connected to the computer, when upgrading to Tally 9 .

Single User Upgrade Process UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
1. 2. Install Tally 9 in a new folder on your computer Edit TallyLicense parameter by placing two semicolons and specify the TallyLock path in Tally.ini file as

shown UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

3. 4.

Save the changes made in the Tally.ini file Start Tally 9 and the conversion form appears as shown

5.

If you wish to convert your license to SoftLock, enter your Email-ID and accept to display a Congratulations message.

6.

You are now ready to use Tally 9 in the licensed mode

Multi User Upgrade process On the Server Computer to convert from Hardlock to Softlock
1.

1. 2.

Install Tally 9 in a new folder on the server computer Edit TallyLicense parameter by placing two semicolons and specify the TallyLock path in Tally.ini file as shown

3. 4.

Save the changes made in the Tally.ini file and start Tally 9 . A Conversion Form displays as shown

5. 6. 7.

If you wish to convert your license to SoftLock, enter your Email-ID and accept. A Congratulations message displays You are now ready to use Tally 9 in the licensed mode

On the Client Computer:
1. 2. Install Tally 9 in a new folder on your computer. Open Tally.ini file from the Tally folder and edit the following parameters.

TallyLicenseServer = server : port (Enter the Name or IP address of License Server Computer instead of server and the Port Number instead of port (default port being 9000)) 3. 4. Save the changes made in Tally.ini file.

3. 4. You are now ready to use Tally 9 in the licensed mode

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Upgrading Softlock users from Tally 6.3 / 7.2 to Tally 9

Single User Upgrade Process
1. 2. 3. Install Tally 9 in a new folder on your computer Start Tally 9 An Activation Form displays as shown

4. 5.

Enter your serial, Key, email-ID and accept A Congratulations message displays as shown

6.

5.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

6.

You are now ready to use Tally 9 in the licensed mode

Multi User Upgrade process
On the Server Computer
1. 2. 3. Install Tally 9 in a new folder on the server computer Execute Tally 9 An Activation Form appears as shown below

4. 5.

Enter your Serial, Key, Email and Accept A Congratulations message appears as shown

5.

6.

You are now ready to use Tally 9 in the licensed mode.

On the Client Computer:
1. 2. Install Tally 9 into a new folder on your computer Open Tally.ini file found in Tally folder and set the following parameter

TallyLicenseServer = server : port (Where server is the Name or IP of License Server Computer and port is the being 9000) 3. You are now ready to use Tally 9 in the licensed mode Port Number, default port

Co-existence of Tally 7.2 and Tally 8.1 along with Tally 9

Single User Upgrade Process

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
1. 2. 3. Install Tally 9 in a new folder on your computer Start Tally 9 An Activation Form displays as shown

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

4. 5.

Enter the Serial , Key , Email and Accept A Congratulations message displays as shown

6.

5.

6.

You can now use Tally 9 , Tally 8.1 and Tally 7.2 in the licensed mode.

Multi User Upgrade process On the Server Computer
1. 2. 3. Install Tally 9 in a new folder on your computer Execute Tally 9 An Activation Form appears as shown below

4. 5.

Enter the Serial , Key , Email and Accept A Congratulations message appears as shown

5.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

If you wish to run Tally 7.2 and Tally 8.1 services in the background as license servers along with Tally 9 license server on the same computer:
Download tally72lic9xserver.exe and tally72licserver.exe from www.tallysolutions.com and paste it in the folder of the server computer where Tally 7.2. exe resides. Edit the Tally.ini in the Tally 7.2 folder, in order to run the license server for both versions. Server port = 9090 Depending on the Operating System, double click the license server and Install the service. This enables you to run Tally 7.2 and Tally 8.1 in the licensed mode to run as a service in the background on the server computer along with Tally 9 license server on the same computer.

You can now use Tally 9, Tally 8.1 and Tally 7.2 in the licensed mode.

On the Client Computer:
1. 2. Install Tally 9 into a new folder on your computer Open Tally.ini file found in Tally folder and set the following parameter

TallyLicenseServer = server : port (Where server is the Name or IP of License Server Computer and port is the Port Number, default port being 9000) You can now use Tally 9 , Tally 8.1 and Tally 7.2 in the licensed mode.

Note : If your Operating System is of a Windows 2000 or higher version, download tally72licserver.exe from www.tallysolutions.com to run as a service in the background on the server computer. This enables you to run Tally 7.2 in the licensed mode. If your Operating System is of a version lower than Windows 2000, download tally72lic9xserver.exe from www.tallysolutions.com to run as a service in the background on the server computer. This enables you to run Tally 7.2 in the licensed mode. It is advisable to remove the existing tallylicserver.exe from the folder where the Tally 7.2 exe resides, before downloading tally72lic9xserver.exe and tally72licserver.exe from www.tallysolutions.com.

Additional Information
In order to use Tally 7.2 and Tally 8.1 along with 9 on the same computer, it is mandatory that Tally 9 is active on the computer

For users who wish to run Tally 8.1 and Tally 7.2 along with Tally 9
1. Both Tally 8.1 and Tally 7.2 users can Activate and Upgrade to Tally 9 . On successful upgrade or activation, you can run all three versions on the same computer, in the licensed mode. Tally 8.1 and Tally 7.2 will co-exist with Tally 9 for 90 days from the date of activation. If you try to Surrender the license from Tally 8.1 or 7.2, all three versions will switch to Educational mode and Tally will display the message Surrender successful . All versions of Tally running on your system will turn into educational.

2.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

3. 4.

If you re-activate the license on Tally 8.1 or Tally 7.2, Tally 9 will be activated automatically. But if you choose to activate the license on Tally 9 first, you need to re-activate Tally 8.1 and 7.2

3. 4. individually for the co-existence of the three versions.

N o t e : You cannot activate the license on surrendered the license from Tally 9.

Tally

8.1 or Tally

7.2 , if you have

For users who Update from Tally 8.1 to Tally 9
Tally 8.1 users can Activate and Upgrade to Tally 9 . On successful upgrade or activation, you can run both versions on the same computer, in the licensed mode. Tally 8.1 will co-exist with Tally 9 for 90 days from the date of activation.

For Softlock users who migrate from Tally 7.2 to Tally 9
Tally 7.2 Softlock users can Activate and Upgrade to Tally 9 . On successful upgrade or activation, you can run both versions on the same computer, in the licensed mode. Tally 7.2 will co-exist with Tally 9 for 90 days from the date of activation.

For Hardlock users who migrate from Tally 7.2 to Tally 9
On migration to Tally 9 , the Hardlock becomes defunct. To run Tally 7.2 , you need to activate the license on Tally 7.2 in the Softlock mode. For additional information on activating the license click here.. N o t e : In case you are connected to the Tally 8.1 resides, Tally will update the internet license and install Tally automatically. 9 in the same folder where

Introduction

The Tally Data Migration Tool helps you upgrade from Tally 7.2 to Tally 9 , by migrating Data and TCP (Tally Compliant Product ) files. It also restores 7.2 backup files .

UNREGISTERED VERSION OF Tool, you can migrate Payroll data also Using the Tally Data migration CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Tally 7.2 Data and TCP files cannot be used on Tally 9 unless you migrate them, for which you need to be a licensed user of Tally 9. Tally 6.3 users can also use the migration tool, which will rewrite the version to Tally 7.2 and then migrate the data to Tally 9.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Tally Data Migration Tool

The Tally Data Migration Tool works with the t ally 9. exe and helps you migrate Tally 7.2 company data. It also helps you migrate Tally 7.2 TCP files. A brief explanation on Tally Data Migration and Tally 9 screen follows, as both screens open simultaneously during migration.

Migrate Company Menu
The Migrate Company menu displays the following: Migrate Data

Migrate TCP Restore 7.2 Backup

Migration Messages Pane
The migration status displays in the Migration Messages Pane when UNREGISTERED VERSION OF CHM TO PDF CONVERTER the migration is in progress. PRO BY THETA-SOFTWARE

Calculator Pane
If errors occur during migration, then an error message displays in the Calculator Pane.

UNREGISTEREDother applications CHM TOyou migrate Data or PRO BYfiles. If an interruption VERSION OF when PDF CONVERTER TCP THETA-SOFTWARE all
during the migration process, the migrated or and you have to repeat migration for the same. partially migrated data will be

Note:

The

Data

Migration

Tool

is

resource

intensive.

It

is

recommended

that

you

close occurs deleted

Migrating Data

If you have enabled and used Payroll in Tally 7.2, before migrating data, ensure that the Payroll process for the previous month is complete and processed because Payroll in Tally 9 will be effective from the date of migration. Migrating Data from Tally 7.2 to Tally 9 Migrating Group company data from Tally 7.2 to Tally 9 Post Migration Steps for Payroll data in Tally 9

Advantages of Migrating Payroll data from Tally 7.2 to 9
1. 2. 3. Processing Payroll in Tally 9 has now become so easy that you can generate a Pay slip in four steps. Pay Head and Salary details creation has become user-friendly and can be defined at the master level. Though there is a hierarchy change in Pay Heads, after migration to Tally 9 the migration tool allows you migrate the calculation type specified in Tally 7.2, thus allowing you to continue generating Payroll reports. A simple re-configuration of the Pay Heads after migration allows you to continue with the Payroll processing in Tally 9.

4.

Migrating Data from Tally 7.2 to Tally 9

For an existing 7.2 customer, the migration process takes place as explained below. 1. Click the tallymigration icon to start the migration. UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

2. 3.

Tally Data Migration and Tally 9 start simultaneously, in separate screens. As soon as Tally 9 is loaded, the message ‘Ready for Migration ’ displays in the Migration Messages Pane .

3.

4. 5.

Click the Migrate Data option to select the company whose data is to be migrated from Tally 7.2 to Tally 9 . Specify the data path in the Directory field.

5.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

6. On selecting the company, the company is loaded.

N o t e : If you OF placed the data to be migrated from BY 7.2 to Tally 9 in the UNREGISTERED VERSIONhave CHM TO PDF CONVERTER PRO Tally THETA-SOFTWARE 9 folder, you have to only specify the path and need not select the company.

Tally

7. If the company selected has Payroll data, the following screen appears.

8. To continue with the migration, press Enter .

9. Accept to migrate the selected company.

9.

10. In the Migration Information screen on the left hand side, you can view the to be migrated from Tally 7.2 .

Types of Masters and Vouchers

11. During the migration from Tally 7.2 to 9 , the status of the migration appears in the screen on the right hand side, which displays the number of Masters and Vouchers that have migrated to Tally 9 .

11.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Note: As certain voucher be a difference of 3 in of Unit Masters. 12.

types and units the total number

have been of Voucher

removed from Tally Type Masters and 1

9 , there will in the number

12. When the migration is complete, an Information pop-up message appears as shown below.

13. On pressing any key, a Congratulations message appears as shown below.

13.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

14. If errors occur during migration, they are displayed in red in the Migration Messages Pane as shown in the following screen.

14.

N o t e : If an error “The Cost Centre 'ABC' during migration, rewrite Tally 7.2 data with R and then migrate the data to 9. 15.

does Tally

not belong to Data Migration

the Category 'XYZ' appears Tool using Ctrl + Alt +

The migrated companies are saved in the Tally 7.2 data folder. The migrated data is prefixed with a ‘0’ and appears as a 5 digit number as shown.

16.

Now you can work on Tally 9 with the migrated data.

Note

:

The

migrated

data

will

reside

in

the

folder

where

it

was

at

the

time

of

migration.

Caution:
If you try to migrate a company that has already been migrated from as shown below. 7.2 to 9 , you will get a warning message

Changes that occur after successful migration process are:
The Payroll Deduction ledgers created under the group Duties and Taxes in Tally 7.2 , after migration

will become a Pay Head grouped under Current Liabilities in Tally 9 . The Payroll Deduction ledgers created under the group Direct or Indirect Expenses in Tally 7.2 , after migration will become a Pay Head grouped under Current Liabilities in Tally 9 . The Payroll Deduction ledgers created under the group Loans & Advances (Assets) in Tally 7.2 , after migration will become a Pay Head grouped under the Pay Head Type Loans and Advances in Tally 9 .

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Any Attendance Type created with unit Mth will appear prefixed with ATTD- followed by the name of the Attendance Type. If you have migrated data containing attendance entries for the current month, whose Payroll is yet to be processed, those entries will become Production Type Entries. So it is suggested that you re-enter the attendance entries for the current month after migration and then process the Payroll. After migration, by default the Attendance Types will change to Production Types and therefore the YTD details will not be retained. All migrated Attendance types will be pre-fixed by ATTD-

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Follow the procedure to display the accurate YTD details in the Payslip : 1. To generate a Payslip with YTD Details for any of the earlier months:

Create/Alter the Attendance Voucher for the respective month Select the Employee To Nullify YTD details , select the ATTD- prefixed Attendance Type and enter the Cur Bal value with a negative sign in the Value field. Select the Employee and the Attendance type Enter the Cur Bal amount as the Value and Accept the Voucher

2.

To generate a Payslip with YTD Details from the Current month onwards:

Create/Alter the Attendance Voucher for the previous month Select the Employee To Nullify YTD details, select the ATTD- prefixed Attendance Type and enter the Cur Bal value with a negative sign in the Value field. Select the Employee and the Attendance type Enter the Cur Bal amount as the Value and Accept the Voucher.

Migrating Group company data from Tally 7.2 to Tally 9

To migrate Group companies: 1. Migrate each member individually from CONVERTER UNREGISTERED VERSION OF CHM TO PDF Tally 7.2 to 9 PRO BY THETA-SOFTWARE 2. On successful migration of the companies, re-create the Group company in Tally 9

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Post Migration Steps for Payroll data in Tally 9

After migrating Payroll data from Tally 7.2 to Tally 9, you have to re-configure the Pay Heads and enter the Rates against the respective Pay Heads in the salary details screen for the Employees/Employee Groups in Tally 9. By default after migration, the Calculation type for all the Pay Heads migrated to Tally 9 will change to As User Defined Value . Follow the steps given below: Go to Gateway of Tally> Payroll Info.> Salary Details> Alter> Select the Employee/Employee Group from the List of Groups/Employees .

In the Salary Details Alteration screen, move the cursor to the Pay Head field and press Ctrl + Enter to reconfigure the Pay Heads as in Tally 7.2 Consider an example where ABC Company migrates its Payroll data from Tally 7.2 to Tally 9. The Payroll is completed and processed for the previous month. To migrate data refer to Migrating Data from Tally 7.2 to 9 1. Before migration, Salary Details for Employee A in Tally 7.2 appears as shown below. (Go to Gateway of Tally> Payroll Info.> Employees> Alter> Employee A )

1.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

2.

After migration the Salary Details screen in Tally 9 for Employee A will appear displaying As User Defined Value as the Calculation Type for all the Pay Heads specified. (Go to Gateway of Tally> Payroll Info.> Salary Details> Alter> Select Employee A from the List of Groups/Employees)

3. 4.

In the Salary Details Alteration screen, change the Effective From date if required To alter the Pay head Basic Salary from the same screen, move the cursor to the Pay head and press Ctrl + Enter In the Pay Head Alteration (Secondary) screen, select the Calculation Type from the list as provided in Tally 7.2

5.

5.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

6. 7. 8. 9. 10.

A ccept to save the Pay Head Enter the Rate in the Salary Details Alteration screen, if applicable Similarly you can modify the remaining Pay Heads Accept to save the changes made The Salary Details Alteration screen for Employee A with the changes made in Tally 9 will appear as shown below

10.

N o t e : As the number of Pay Heads will increase is retained as provided in Tally 7.2, the Pay Heads Calculation Type As User Defined Value

after migration, if the are migrated to Tally

Calculation 9 with

Type

Migrating TCP

Migrating TCP from Tally 7.2 to Tally 9 1. Click the Migrate TCP OF CHM TO the TCP files from Tally 7.2 BY THETA-SOFTWARE UNREGISTERED VERSION option to migratePDF CONVERTER PRO to Tally 9

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

1.

2.

A window displays as shown. Accept to Migrate TCP

2.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

3.

In the Migration Messages Pane, messages display, indicating that the TCP files are in the process of migration Once the process of migration ends, a message appears as shown below

4.

4.

5. The migrated TCP files are saved in the folder where Tally 7.2 TCP files reside. The migrated TCP files are suffixed with 9 as shown and appear with the 9 suffixed in the Tally.ini.file also

5.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
6. Now, you can work on Tally 9 with the migrated TCP files

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

N o t e : During migration, only those TCP files mentioned in the Tally.ini migrated from Tally 7.2 to 9. The migrated TCP will reside in the folder the time of migration.

file will where it

be was

at

Restoring 7.2 Backup

Follow the below steps to Restore 7.2 backup data to 9 . 1. Click Restore 7.2 Backup option to migrate 7.2 Backup data

1.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

2.

In Select Companies to Restore screen specify the Destination and Source path. Select the company from the List of Companies as shown

2.

Note folder, 3. 4. 5. 6.

: If you

you have placed the data to be migrated from Tally 7.2 to have to only specify the path and need not select the

Tally 9 in company.

the

Tally

9

Click Migrate Data to migrate the 7.2 data to 9. Refer to Migrate Data Select the company to be migrated from the list of companies provided Click Yes to continue the migration process Click Quit to close the Tally Data Migration Tool

The migrated companies are saved in the Tally 7.2 data folder. The migrated data is prefixed with a ‘0 ’ and appears as a 5 digit number You can now work on Tally 9 with the restored and migrated 7.2 backup data

Additional Information
Once the migration of Data or TCP files from Tally 7.2 to 9 is complete, two important log files display in the folder containing the tally migration exe .

migration.err
The migration.err file displays the errors if any occur during migration

migration.log
The migration.log file provides the following details: Migrating Data

1. 2. 3. 4. 5.

Date of Migration The Name of the company opened for migration Migration Start time Time taken and the Migrate data information, i.e., Masters, Vouchers and Reports from Tally 7.2 to 9

3. 4. 5. 6. 7. Lists the number of errors, if any Migration End time The Migration tool closing 7.2 company ABC Company and Closed information of the migrated company

Migrating TCP files UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE 1. 2. 3. Date and Start Time to migrate the TCP files from Tally 7.2 to 9 Migrate TCP information Migrating TCP files End details

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Error Occurrence during Migration
Error Occurrence during Migration of Masters
If an error occurs during the migration of Masters, the migration process stops immediately and an importerror.log file is created in the folder where the tally72migration. exe resides. The XML tags of those masters, which did not migrate, appear in the importerror.log file.

Error Occurrence during Migration of Transactions
If an error occurs during the migration of transactions, the migration continues and the XML tags of those transactions, which did not migrate, appear in an importerror.log file. Rectify the transactions and copy the XML tags into a file with an .XML extension . Now, import the .XML file to Tally 9 . N o t e : As alter these manually importing transactions again transactions create new Alter after Synchronization . ID s, you have to create or

Introduction

Tally comes with the World’s First Concurrent Multilingual Business Accounting & Inventory Management Software for small and medium businesses. The user interface for the software is available in Hindi, Marathi, Gujarati, Bengali, Kannada, Tamil, Telugu, Malayalam, Hinglish (colloquial English) and Punjabi, and in Bahasa Melayu and Bahasa Indonesia allowing you to interact with Tally, in a language of your choice. Thus, Tally gives you tremendous freedom to maintain accounts, as well as view and print in any of the above mentioned Indian languages. Tally enables you to enter data in one language and have it transliterated into different languages. You can generate invoices, purchase orders or delivery notes in different languages after entering data for the same in a different language.

Features of Tally Multilingual

Tally is a concurrent Multilingual software that Can display Tally in OF CHM TO PDF user chooses from any BY THETA-SOFTWARE UNREGISTERED VERSION any language that theCONVERTER PROscreen in Tally. Supports Translation of Pre-Defined Masters Supports Transliteration for the allowed languages

UNREGISTERED VERSION OF CHM the phonetic language or system language. Can capture data entered using TO PDF CONVERTER PRO BY THETA-SOFTWARE
Can capture language specific Names and Aliases. Can print and display Reports, Vouchers and Invoices in any language. Can copy text from Tally to Windows and vice versa. Use Ctrl +Alt +C to copy and Ctrl +Alt +V to paste.

Operating System Requirements for Tally Multilingual

Operating System

Support for Indian Scripts in Windows version

Windows 95 Windows 98 Windows ME

Does not support Unicode

Windows NT

Supports Unicode but not Indic languages

Windows 2000

Supports Unicode and the following Indic languages:

Hindi

Marathi

Tamil

Windows XP

Supports Unicode and the following Indic languages:

Hindi

Marathi

Tamil

Telugu

Kannada

Punjabi

Gujarati

Windows 2003

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Hindi

Supports Unicode and the following Indic languages:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Tamil

Marathi

Telugu

Kannada

Punjabi

Gujarati

Windows XP SP2

Supports Unicode and the following Indic languages:

Hindi

Marathi

Tamil

Telugu

Kannada

Punjabi

Gujarati

Bengali

Malayalam

User Interface in Tally

The Tally interface displays in the language selected as Initial Startup Language , at the time of installation. For example, if you have selected Hindi as Initial Startup Language , the Tally interface displays as shown.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Configuring F12: Configure for Multilingual

Configuring F12 for Multilingual
Go to Gateway of Tally > F12:Configure > General

Show tables with Masters only in Current Language
If this option is set to Yes , Tally displays the Pre-defined and User defined Masters in the Language selected. If this option is set to No , Tally displays the Pre-defined and User defined Masters in English and in the selected Language , along with Aliases created in other languages, if any.

C reating a Company in any language
Create your company in any language. The Company Creation screen, if Hindi is selected as your language, displays as shown.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

N o t e : The Name of or transliterated but

the will

Company , Unit appear in the

of Measure and C u r r e n c y Language created.

cannot

be

translated

Language Configuration in Tally

Configure your language as given. 1. 2. Click L: Language from the horizontal toolbar or press ALT + L In Language Configuration screen, select the language from the List of Languages.

3.

The interface displays in the language selected.

Keyboard Configuration in Tally

Tally provides the exceptional option of choosing between multiple keyboards. 1. Tally’s VERSION OF UNREGISTERED Phonetic KeyboardCHM TO PDF CONVERTER PRO BY THETA-SOFTWARE 2. Operating System Keyboard

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Tally's Phonetic Keyboard

Tally’s Phonetic keyboard is useful for those who speak the language but do not know how to type the same using the keyboard. This keyboard will allow you to spell the term phonetically based on how it sounds and Tally will display the data in the language selected after transliteration. The keyboard layout is the same as that of the English characters, which makes it user friendly and comfortable. With a phonetically enabled keyboard, you can enter the information or data in any Indian language to generate bills, invoices and other reports. A few examples using Tally’s Phonetic Keyboard are given below:

Word in English

Purchase Sales Item Inventory Conveyance Salary Postage & Telegram Commission Discount Debtors Creditors Capital Ledger Ramjilal Cash Shyamlal Godown Branch Loan Customer Supplier Company Accounts

Keys for Phonetic Representation of Indic Languages parachej sels AiiTam inventrii Kanveyns selarii posTej end Teligram kmiishiin DiskaunT DeTaras kreDiiTars kaipiTal lejar rAmajiilAl kaish shyAmalAl goDAun braAnch lon kasTamar saplAyar kampanii EkAunTas

Key Combinations for Hindi

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Vowel Signs

Symbols

Special / Accent Keys

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Key Combinations for Bengali

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Vowel Signs

Symbols

Key Combinations for Punjabi

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Vowel Signs

Symbols

Key Combinations for Gujarati

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Vowel Signs

Symbols

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Key Combinations for Tamil

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Vowel Signs

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Symbols

Key Combinations for Telugu

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Vowel Signs

Symbols

Key Combinations for Kannada

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Vowel Signs

Symbols

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Key Combinations for Malayalam

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Vowel Signs

Symbols

The Character

is presently not supported in Tally.

Key Combinations for Marathi

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Vowel Signs

Symbols

Special / Accent Keys

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Configuring Masters in F12

Go to Gateway of Tally> F12: Configure> Accts/Inv Info.

Allow Language ALIASES along with Names
This option has a significant value when creating masters like Ledgers and Stock Items , as it enables you to enter aliases in Indic languages along with the Name , as well as the User Interface Language . For example, create a Stock Item (Cement) in Hindi and Name it in different languages with Aliases . The screen displays as shown.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Masters created with more than one Indic language as Name
Masters created in more than one Indic language, when viewed in a Report or Master will display based on the Language Precedence order allotted in Tally. The default Language Precedence order is English , Hindi , Bengali, Punjabi , Gujarati , Tamil , Telugu, Kannada , Malayalam and Marathi . For example say you have created the Master in Hindi , Kannada and Gujarati . You can view it in any of the three languages, but if you choose to view it in a Report or Master in any other language, then the transliteration of the Name will appear in Hindi. This is on account of the fact that Hindi appears before Kannada and Gujarati in the Language Precedence .

Creating, Displaying and Printing in Multi Language

Consider a scenario where a firm based in Maharashtra creates a Sales Invoice in Hindi on 16-6-2006 and issues the same Sales Invoice in Kannada to his customer (e.g. Royal Group ) , which is based in Karnataka . The Sales Voucher entered in Hindi appears as shown.

To print the Sales Invoice in Hindi . 1. 2. 3. 4. Press Alt+P to print the voucher. Press Alt+L to get the List of Languages in the Print Language Configuration screen. Select Hindi from the List of Languages .

2. 3. 4. Accept to print the voucher.

Preview of Sales Invoice in Hindi will be as shown.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

N o t e : You can view the data in any of the Indic languages in Tally, provided the Masters are made in any one of the Indic languages. Similarly, to view a Master in English, it must be created in English also apart from the Indic languages.

To preview the Sales Invoice in Kannada:
Go to Gateway of Tally > Display > Daybook > Select the Sales invoice dated 16-6-2006 from the list. 1. 2. 3. Press Alt+P to print the voucher. Press Alt+L to get the List of Languages in the Print Language Configuration screen. Select Kannada from the List of Languages .

3.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

4. Accept to print the voucher.

The Sales invoice Print Preview in Kannada displays as shown.

View the Stock Summary of the Stock Items sold to Royal Group in Karnataka , in Kannada. The Stock Summary screen displays as shown.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

To Manually Setup Language Support

Windows needs to be manually configured for the language that you want to use. All versions of Windows 2000, Windows XP and Windows 2003 operating systems have built-in support for Indic languages. However, if you have not selected Language Support at the time of installation, you will not be able to use the multilingual feature in Tally. 1. 2. Click Control Panel from the Start menu or click on My Computer. Double-click the icon Regional and Language Options.

3. 4.

In the Regional and Language Options window, select Languages tab. Select Install files for complex script and right-to-left languages (including Thai) under Supplemental language support. Click Details to display Text Services and Input Languages window.

5.

5.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

6. 7.

Click Add from Settings to display Add Input language dialog box. Select the language from the Input language drop-down list. Select Hindi as an example.

8. 9. 10.

Select Hindi Traditional from the Keyboard layout/IME drop-down list and click OK. Click Apply and OK in Text Services and Input Languages window.

8. 9. 10. 11. Click Apply and OK in Regional and Language Options window. Change Regional Options dialog box is displayed with a prompt to Restart the computer for the changes to take effect. Click Yes to restart.

12.

Windows has now been configured to enter text in Hindi.

Operating System Keyboard

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
To configure the Keyboard for an Operating System Keyboard. 1. 2. Click K : Keyboard from the horizontal toolbar or press ALT +K

The Operating System Keyboard is used by those who know to read and write in the language of their choice. Entering data in Tally using the Operating System Keyboard is different from using the phonetic keyboard as the keyboard layout differs.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

In Keyboard Configuration screen, select Hindi Traditional (System) from the List of Languages .

Note : depends

The upon

Languages Operating

displayed System.

in

the

List

of

Languages

for

Keyboard

Configuration

Using On-Screen Keyboard in Tally
The On-Screen keyboard is a virtual keyboard which displays on the computer screen. Using the On-Screen keyboard will familiarise you with the Operating System keyboard’s layout. Configuring On-Screen Keyboard 1. 2. Go to Start > Programs > Accessories > Accessibility Select Onscreen Keyboard

2.

3.

The On-Screen Keyboard will appear as shown below.

4.

Use Alt + Shift to configure the language of choice. For example, if you wish to enter data in Hindi, select Hindi using Alt + Shift or select the same from the Language bar as shown.

5.

The On-Screen Keyboard will appear in Hindi as shown, as you place the cursor on it.

5.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Tally Value Pack

Tally Value Pack (TVP) is an annual Product Upgrade Assurance offer for licensed Tally customers. The TVP is available only for the current version of Tally being sold in the market. Tally Value Pack has a validity period of 12 months. When you buy a Tally Value Pack, you will get: 1. 2. 3. Free Upgrade to the next version of Tally Free Major Release Update to new release of Tally Up to 50% discount on Add-On purchases

All the above are subject to availability during the validity period of your TVP. N o t e: Tally Value Pack www.tallysolutions.com benefits are subject for latest benefits. to change: please visit

For a TVP customer purchasing Add-ons

View Price List

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE View Price List screen displays the Add-Ons , TVP Customer Price and Your price details of a specific
number It is a display screen and cannot be modified.

serial

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Buy You can make the purchase as per the instructions given for online users and Accept the purchase. For a TVP customer, Tally displays a text in green as Since you are a TVP customer, you have saved: along with an amount. As you are a TVP customer , your purchase is billed at Your Price . The difference between MRP and Your Price is the amount displayed in Since you are a TVP customer, you have saved: field. The MRP is the actual price and the Your Price is the discounted price for purchasing the Add-on. For a TVP customer, the Shop screen displays as shown:

Shop

The Shop option in Tally is an interface between Tally and its customer. It allows you to select and purchase Tally Add-Ons using the Online/Offline options. You can purchase the currencies to buy the Add-Ons from PRO BY THETA-SOFTWARE UNREGISTERED VERSION OF CHM TO PDF CONVERTERTally Resellers, distribution partners or Tally Authorised Service Centres. The Add-Ons include paid modules of Tally, Tally Value Pack, Upgrades and Updates. To locate your nearest Tally vendor, visit www.tallysolutions.com The procedure for using Shop is different for Online and Offline users.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Go to Gateway of Tally > F12: Configure > Shop The Shop menu appears as shown.

Online Offline

Online

If you are an Online user, Go to Gateway of Tally > F12: Configure > Shop > Online

The Online menu displays the following options: 1. View Price List 2. Buy

View Price List
View Price List screen displays the Add-Ons and price details for a specific serial number that you have selected. It is a display screen and cannot be modified.

Buy
When you select the Buy option, the serial number that you are shopping for displays at the top of the screen as You are shopping for Serial Number: Your Serial Number. To shop for Add-Ons: 1. Select the currency in the Select Currency field. 2. Select the name of the Category from the list in the Category field. N o t e : If you are not sure of from the List of Category, all displayed Category-wise. the Category of Add-ons, select A n y. When you select A n y the A d d - O n s will be displayed at once instead of being

3. Select the Add-On that you wish to purchase from the list, Name of Add-on. The Add-ons for the selected category are displayed in the list. Note:

1. If you are shopping for Tally Value Pack first from the list needed for shopping.

Value Pack along with other A d d - O n s ,, select Tally of Add-Ons. Then you will know the exact currency value

2. When you select the Name of Add-On and Your Price of the A d d - O n s will be fields. These fields cannot be modified. 4. Select End of List once you finish selecting Add-Ons

from the list, the Qty, displayed automatically

TVP Customer Price against the respective

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

5. For a non TVP customer, Tally displays a text in red as If you were a TVP customer, you could have saved along with the amount. As you are a non TVP customer, your purchase is billed at Your Price. The difference between Your Price and TVP Customer Price is the amount displayed in If you were a TVP customer, you could have saved field. 6. The TVP Customer Price is the discounted price for the Add-on applicable for a TVP Customer. Your Price is the price that you need to pay for the Add-on. 7. After selecting all the Add-Ons, enter the TallyCurrency key No. (that is displayed on the currency card) in the TallyCurrency key No. field and press Enter. 8. Select Yes to accept the transaction. To cancel, select No. 9.A Congratulations message is displayed to confirm your purchase. N o t e : The TallyCurrency Key No. used and the along with the C o n g r a t u l a t i o n s note. If there is TallyCurrency Key No. has been fully consumed 10. Press any key to proceed. 11. The license gets automatically updated (for an Online User) in the background and a License Updated Successfully message is displayed. remaining amount (if any) is displayed an inadequate balance, you will get message.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Offline

If you are an offline user, you need to first generate a request file. Go to Gateway of Tally > F12: Configure > Shop > Offline

Buy
1. Selecting the Buy option displays a message tally_req.lic is generated successfully. This generates a tally_req.lic and stores it in the Tally folder. Copy the tally_req.lic into a floppy or a CD. Paste tally_req.lic file into the Tally folder of a computer connected to the Internet. Run Tally. Go to Gateway of Tally > F12: Configure > Shop > Offline

2.

3.

The Offline menu is displayed.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

4. Once tally_req.lic is copied in the Tally folder in a computer connected to the Internet, two additional menus, View Price List and Send External Shopping Request are displayed in the Offline menu.

View Price List
View Price List screen displays the Add-On and price details (i.e., TVP Customer Price and Your Price) for your selection. It is a display screen and cannot be modified.

Send External Shopping Request
To shop for the Add-ons, select Send External Shopping Request The Shop screen is displayed, showing the Serial Number of the Tally license for which the tally_req.lic is generated at the top of the screen. Make the purchase as per the instructions given for Online users and Accept it. Note: 1. You can Shop Offline even if T a l l y runs on Educational Mode. 2. If you are shopping for Tally Value Pack along with other A d d - O n s, select Tally Value Pack first from the list of A d d - O n s. Then you will know the exact currency value needed for shopping.

To update the license
Go to Gateway of Tally > F12: Configure > Licensing > Offline > Send External Request 1. You get a message indicating Offline Response file tally_resp.lic is generated successfully. This generates a tally_resp.lic in the Tally folder. Copy the tally_resp.lic file to the computer, which has generated the request file (tally_req.lic). Run Tally. Tally will read the response file (tally_resp.lic) from the Tally folder and a message License Updated Successfully is displayed.

2. 3.

3.

List Add-Ons

To view the Add-Ons purchased: Go to Gateway of Tally > F12: Configure> Licensing > List Add-Ons

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
By default, Tally will list the Add-Ons enabled for the Serial Number and also displays the Add-Ons purchased using the Shop feature. The Name column displays the names of the Add-Ons and the Add-On Expiry column displays the expiry date of the Add-Ons.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Operations Configuration

Configuring has to be done before creating and starting work on the company. Click F12: Configure button or press F12, which will bring up the operations configuration menu:

General

Go to Gateway of Tally > F12:Configure > General

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The Configuration settings of Country Details, Style of Names, Style of Dates and Configuration of Numbers are self-explanatory. Other configuration options are explained.

Show Monthly reports with Graphs
This option is set to Yes by default. The reports are configured to display the Graphs in accordance with the numeric information. The graphs in reports will not be displayed if this option is set to No.

Use separate Menu for Final A/c Statements
By default, this option is set to No. If you set this to No, Tally displays the final statements of Balance Sheet and Profit & Loss A/c directly on the Gateway of Tally menu. However, if you set this option to Yes, the final statements of Balance Sheet and Profit & Loss A/c can be accessed from Gateway of Tally > Final Accounts instead of directly from the Gateway of Tally menu

Ignore errors & continue during data import

By default, this option is set to No. Set this option to Yes, to import even if an error is reported.

Export Base Currency Symbol along with Amount
This facilitates the user to export the currency symbol along with the amount while exporting in XML format.

Show tables with Masters only in Current Language
If this option is set to Yes, Tally displays all the Masters ( Default Masters and User Defined) in the language selected in the L: Language configuration. Setting this option to No, Tally displays the default list of Masters in English and in any of the Indian languages selected in the L: Language configuration. Note: * For further

details

on

Multilingual

Feature,

refer

to

Using

Multilingual

Feature

in

Tally. of

* International users can C o u n t r i e s in the Use

enable Indian VAT by Accounting terminology

selecting field.

I n d i a / S A A R C from the List

Numeric Symbols

This enables you to set the number styles. The default styles and symbols are specified. However, you have the option of overwriting them in the respective fields according to your preference.

UNREGISTERED VERSION OFsign from (-)PDF CONVERTER PRO BY THETA-SOFTWARE For example, change negative CHM TO to (+).

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Accts/ Inventory Info.

Go to Gateway of Tally > F12: Configure > Accts/Inventory Info. This allows you to configure the details you want in the masters over and above those provided. You can access the F12: Configure screen from Accounts Masters and Inventory Masters when required.

Master Configuration
This section allows you to set the multilingual features in the Masters Creation screen.

Allow Aliases along with Names
Set this option to Yes to enter the Alias names in the Master Creation screen.

Allow Language Aliases along with Names
Set this option to Yes to enter the Alias Names in any of the Indic Languages.

Accounts Masters

This section allows you to set the accounting features in the Masters Creation screen.

Allow Advanced Entries in Masters
Set this option to Yes, to enter some of the advanced information in the Ledger Master creation and the Group Creation screens. This information will reflect in the reports.

Add Notes VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE UNREGISTEREDto Ledger Accounts
Set this option to Yes and a new field to enter Notes appears in the Ledger creation screen. This field allows you to enter any additional information about the ledger you are creating.

Use Addresses for Ledger Accounts

UNREGISTERED VERSION OF the Mailing PDF CONVERTER PRO Screen. It is useful if you are creating a Set this option to Yes to enter CHM TO Details in the ledger Creation BY THETA-SOFTWARE
Customer ledger, a Party ledgers or Bank Accounts. Mailing Details like Name, Address, State, PIN Code and PAN / IT No. is entered in this section. These details will appear in the reports, when they are printed.

Use Contact Details for Ledger Accounts
Set this option to Yes to specify the details of Contact person (if any) in the ledger creation screen. You can specify the details like the Name of the Contact Person, Telephone Number, Fax Number and the EMail Id. N o t e: The Contact Details A c c o u n t s is set to Y e s for the ledgers appear only if Use Addresses for Ledger

Inventory Masters
This section allows you to specify the required Inventory features in the Masters Creation screen.

Allow Advanced entries in Masters
Set this option to Yes to specify the Behaviour of the Stock Item, in the Stock Item Creation screen. For further details, please refer the section Stock Items.

Use Part Numbers for Stock Items
Set this option to Yes, to enter the Part Numbers of the Stock Item.

Use Description for Stock Items
Set this option to Yes to enter any Description about the Stock Item in the Stock Item Creation screen.

Use Remarks for Stock Items
Set this option to Yes to enter your remarks or comments about the stock Item.

Specify Default Ledger Allocation for Invoicing
Set this option to Yes, to Set or Modify Default Ledgers for Invoicing for the Stock Item.

This allows you to allocate default Sales/Purchase Ledgers account which will be credited when a Stock Item is invoiced.

Use Alternate Units for Stock Items
Set this option to Yes to define an Alternate Unit for the Stock Item.

Allow Std. Rates for Stock Items
Set this option to Yes, to specify the Standard Purchase Cost and Standard Sales Price of the Stock Item.

Allow Component list details (Bill of Materials)
Set this option to Yes, to define the Components (BOM) for the Stock Item. For further details, refer to the section Bill of Material.

Use addresses for Godowns
Set this option to Yes, to enter the godown address in the Godown Creation Screen.

Voucher Entry

Go to Gateway of Tally > F12: Configure > Voucher Entry

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Configure different features of your voucher entry screen.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Other features of convenience, e.g., Use Payment/Receipt as Contra are enabled to effect transactions for funds transfer. Tally allows such transactions only through Contra Vouchers. Take another instance where, you are not permitted to use Journal Vouchers for Cash or Bank transactions. However, recognising exceptional needs, you can override that restriction by enabling the facility here. Refer Allow Alteration of TDS Rates and Values for more information.

Invoice/Orders Entry

Configure details for Invoices, Sales and Purchase Order entry. The options are country specific to International. The options are in the form of questions to which you need to state Yes or No. They have also been explained in detail at the relevant invoice entry sections.

For India/SAARC, the options would automatically change to Use Excise Format instead of Use Intrastat Details provided you have set your General Configuration accordingly.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The option to Use Excise Duty or British Style VAT depends on the General configuration. Go to F12: Configure > General Set Use Accounting Terminology of to International to British Style VAT handling apart from Asian countries. F11: Features > F2: Inventory will now display the option Prepare and Follow British Style VAT Returns . Select India/SAARC in F12: Configure > General for Excise Duty handling. F11: Features> F3: Statutory & Taxation displays an option Follow Excise Rules for Invoicing . For additional information on setting up Excise Duty/British Style VAT refer to Activate Company Features (F11)

Printing

The printing option allows you to configure the printing of Voucher, Invoice and Statement layouts before printing. Go to Gateway of Tally > F12: Configure > Printing

General

This configuration is applicable for all print reports.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Print Date & Time of Report
This option enables printing of system date and time on each report. These are printed on the top right corner of the report as a control mechanism. It should not be confused with the date range of the report. Note: Vouchers and Invoices are not reports.

Print State and PIN Code with Address
By default, this option is set to No. Set this option to Yes, to print the reports with State and PIN Code details entered in the company Creation screen. N o t e : If you already have a company created then you need to set this option to N o. with State and PIN Code in the address field,

Stop printing Vertical Lines/Borders: Set this to Yes to avoid printing of vertical lines and borders in dotmatrix printer. This helps in faster printing. Standard Space on Top of pages (Inches): This field is set to 0.5 inch by default. However, you can change it as per your requirement.

Settings for ‘Quick Format’
Tally prints in two formats – Neat and Quick. Neat printing takes advantage of fonts of the printer and is the default. It also compresses long data like long names and amounts and auto-fits them according to space. Quick printing is suitable for Dot Matrix printers where speed is an issue. Hence, quick printing does not print fancy fonts. The auto-fit facility is, thus, not possible in quick printing. Therefore, it will truncate data longer than the allotted space. To prevent this, set the two fields under for ‘Quick Format’ to Yes. Settings

Purchase Voucher/Invoice and Purchase Order

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Purchase Voucher/Invoice

Purchase voucher/Invoice, Receipt Note and Purchase Order are printed to maintain continuity in voucher numbers and to provide a document to record a transaction. To configure, select Purchase Transactions under Printing.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Purchase Orders
Purchase Orders are required to be printed and sent to suppliers.

Receipt Notes
Receipt Notes are entered in the same format as Delivery Notes, and if Purchase Orders are enabled, the details of the order would automatically get filled-up. Further, Purchase Invoices would also auto-fill with the Receipt Note or Purchase Order details as relevant.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Payment /Receipt/Journal Vouchers, Credit Note/Debit Note

Configure the dimensions and details as per your requirements to print

The above options pertain to Payment Vouchers. The options for Receipt vouchers, Journal/Contra, Debit/Credit Note are similar.

Amount in words
To print the amount in words on the Payment, Receipt, Journal, Credit Note/ Debit Note voucher in any language apart from the language selected as User Interface: Select the Output Language at the Report Generation screen from the voucher Click F12: Configure and set Print Amount in Words to Yes and Print Amount in Words in English to No for the amount to appear in the selected Output Language

N o t e: If you set Print Amount Y e s, the amount will appear in

in Words and Print E n g l i s h only.

Amount

in

Words

in

English to

Sales Invoice, POS Invoice, Delivery Note and Sale Order/Quotation

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Printing configuration for all Sales vouchers like Sales Invoices, POS Invoice, Delivery notes and Sales Orders/Quotations are accessible through Sales Transactions under Printing menu. Each transaction type can separately configured and selected from the sub-menu.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The different configuration screens are as given:

Sales Invoice
This is the configuration for the Sales invoice. You can change the setting as per your requirement.

Details of the above configuration options have been discussed in Invoice Entry section.

POS Invoice
The Print Configuration for a POS Invoice displays as shown. You can configure the options as per your requirement.

Delivery Note
Delivery Note appears similar to Invoices. Fields like Rate and Amount may be required by some companies to be printed out on Delivery Notes. Select the options as relevant to your company.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Sales Order/Quotation
Sales Orders, if marked Optional, during voucher entry, are printed as Quotations.

Reminder Letters

The Reminder Letters feature in Tally can be used to remind any customer or supplier of their overdue bills.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Space to leave on top (default 0.5 inch) and Space to leave on left (default 0.5 inch) : These fields are set to 0.5 inch by default. However, you can change it as per your requirement. Information in First Paragraph and Information in Second Paragraph: The information provided in these two fields can be used as such, modified or extended.

Confirmation Statements

Confirmation Statements are not the same as Reminder Letters. They serve to confirm the account balances with customers, suppliers, lenders and borrowers. This is used mostly at the end of a period but can be produced at anytime.

Space to leave on top (default 0.5 inch): This field is set to 0.5 inch by default. However, you can change it as per your requirement. Titling for ‘Subject’ in Letter: The default text is Confirmation of Accounts. You have the option of changing it as per your requirement. Information in First Paragraph and Information in Second Paragraph: The information provided in these two fields can be used as such or modified or extended. Sign-off used for the Letter: The default text can be changed in this field also.

Introduction

Go to Gateway of Tally > F12: Configure > Connectivity

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The Connectivity menu consists of three options.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Sync Configuration Proxy Configuration Auto-dial Configuration

Sync Configuration

This configuration is usually done when data from different locations needs to be synchronized. For detailed information, refer to Synchronization section. N o t e : Sync Configuration option in F 1 2 : C o n f i g u r e screen clientserver=client or clientserver=server in Tally.ini file. will appear only if you enter

Proxy Configuration

This configuration is usually done when data from different locations needs to be synchronized and while activating the License. Proxy configuration is required for those users who are behind a proxy server and use Synchronization feature of Tally as a Client. If TallyClient accesses a TallyServer through a proxy server, then proxy server VERSION OF CHM UNREGISTERED details must be provided. TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

If your computer is on a network and connected to the Internet. Use HTTP Proxy Server: Select Yes if your computer is connected to a proxy server URL: Enter the IP address and port number of the proxy server used. Ensure that the IP address and Port is separated by a colon. For eg. 198.162.2.1:8080 Authentication Required: Set this to Yes if you want authentication. Specify a user name and password in the respective fields.

Auto-Dial Configuration

Auto Dial configuration feature can be enabled, when you are in need of any of the Internet Services while working on Tally, like Licensing or Synchronization. Gateway of Tally> F12: Configure> Connectivity > Auto-Dial Configuration

Set Use Specific Dial-Up Connection to Yes. In the field Dial-Up Connection, select the appropriate Dial-Up Connection from the List of Dial-Up Connections.

Once when this configuration is enabled, you get connected to the internet spontaneously. Note: The Auto Dial Configuration is only for those users who have Dial-Up Connections.

Licensing

This option allows you to activate your Tally License Online or Offline

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
The screen appears as shown:

Go to Gateway of Tally > F12: Configure > Licensing

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

List Add-ons allows you to view the additional features enabled in Tally. Online option allows you to activate Tally License Online. The term online indicates that your computer is connected to the Internet. Offline option allows you to activate Tally License Offline. The term Offline indicates that your computer is not connected to the Internet.

Shop

This option allows you to Shop for Tally Add Ons Online or Offline Go to Gateway of Tally > F12: Configure > Shop The screen appears as shown:

Company Information

The first step to get started in Tally, is to Create a Company . The initial screen appears as shown:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The Gateway of Tally screen is separated into six sections, namely Title Area , Horizontal Button Bar , Main Area (Ctrl+M) , Calculator Area (Ctrl+N) , Button Bar and the Bottom Pane . The elements of the Gateway of Tally screen are explained below:

Title Area
Title Area contains the Tally Copyright and Tally website link . You can access the Tally website directly from the Tally screen. You must have access to the Internet and Internet Explorer Web browser installed on your computer. Click on the http://www.tallysolutions.com link on the top frame of the screen to enter our website. The link appears in all screens of Tally. Tally logo is displayed at the centre of the Title Area. The Product type (Tally Gold, Tally Silver, Tally Bronze or Educational) and Tally Serial Number appears on the upper-right corner. The software serial number is usually a unique number.

Horizontal Button Bar
The Buttons, Print (Alt+P), Export (Alt+E), E-mail (Alt+M), Upload (Alt+O), Language (Ctrl+L), Keyboard (Ctrl+K) and Help (Alt+H) can be seen in the Horizontal Button Bar .

Bottom Pane
The Bottom Pane contains the Version number, Release details (every time a new release of Tally is made, it is identified with a different release name like Release 3.14) and the Current Date (the date configured in the computer). The name of the day, date, month and year is displayed in DD , MM and YYYY format on the righthand side. System time (the time configured in the computer) appears on the lower-right corner in Hour: Seconds: Minutes (HH/MM/SS) format. The Path appears in the lower left corner in the Bottom pane.

Close Button
The Close Button in the upper right corner functions similar to the use of ‘Esc’ in Tally. It brings you to back to the Gateway of Tally from any screen.

Minimise Button
The Minimise button performs the standard Windows Operating System’s function (Windows 95 onwards),

allowing you to minimize Tally and work on other applications. To restore Tally, click on the Tally icon on the taskbar.

Main Area (Gateway of Tally)
The Main Area is separated into two: 1. 2. Left-hand side area Right-hand side area

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The left-hand side provides information on Current Period , Current Date and List of Selected Companies (Name of the company and the date when last entry has been made). The right-hand side displays the Company Information menu such as Select a Company, Create a UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARECompany, Backup a Company or Restore a Company and so on.

Hot Keys
Hot keys are capitalized and are red in colour on all the menu screens. Using the Hot Keys in the Screen will take you to that particular screen or display the sub - menus within that Option. Company Info

Calculator Area
Press [Ctrl + N ] to activate the calculator. Calculator Area is used for calculator functions. Any type of independent calculation can also be done using the calculator.

Button Bar
The buttons are designed to make the work easier and faster and vary from one screen to another based on the screen functionality. They appear on the right hand side of the Tally screen and the inactive buttons are greyed out. You can either click these buttons or press the shortcut keys to access the relevant screen. The following are some of the buttons and their functions: Help (Alt+H) – To access Tally's online context-sensitive help F1: Select Cmp – To select the company from the List of Companies and access data from other data directories on the local system or through the network. You can also access the Directory field by pressing [Backspace]. F12: Configure – To access the configuration settings to manage the information entered in Tally. For example, you can access the General Configuration to set country specific defaults, before creating a company. Buttons where a character or function key is underlined indicates that you have to press underlined character or the function key along with [ALT ] key. Buttons where a character or function key is double underlined indicates, you have to press the character or the function key along with [CTRL ] key.

F1: Press the shortcut function key [F1] to select a company

F1 : Press [ALT+F1] to shut a company

F8 : Press [CTRL+F8] to select the Credit Note voucher

Ctrl+M: Press Ctrl+M to access the Gateway of Tally.

Ctrl+N: Press Ctrl+N to access the Calculator/ODBC Server frame

Country Specific Configuration

The options available are Country Details, Style of Names, Style of Dates, Configuration of Numbers and Other Options. Go to Gateway of Tally > F12:Configure > General UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The Configuration settings of Country Details, Style of Names, Style of Dates and Configuration of Numbers are self-explanatory. The prime differences are in the use of terms like VAT in Europe and Sales Tax in Asia and America that have to be configured before creating a company. Refer the section Operations Configuration for details on the other fields.

Creating a Company

C reating a Company involves providing basic information about the company whose books of accounts are to be maintained in Tally. Go to Gateway of Tally > (Alt+F3) Company Info. > Create Company

Above is displayed an International Company Creation Screen. Note that the State and PIN Code fields are not available. The screen for India/SAARC would be:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

A detailed explanation on each field is given: Directory T he data path where you want the company to be created is specified in the Directory field. This field is skipped by default when you create the company in the data path given in the want to change it, use the backspace key and modify it to the path required. Tally.INI file. If you

This is referred to as the TallyAnywhere concept – which is the ability to create/load companies in separate directories. The Directory field is displayed while selecting Select , Create , Backup , Restore and Rewrite options for a company. By default, the cursor will skip the field, presuming that you wish to use the default data directory for your work. You may press Backspace to give a new path and work from there. For example, the default Tally data directory could be C:\TALLY\DATA . You may now wish to create a new company on C:\TALLY\PERSONAL , and some other companies on C:\TALLY\BRANCHES . The next time, the default directory displays C:\TALLY\DATA , and if you wish to work on the data of your branches, press Backspace and enter C:\TALLY\BRANCHES for the directory name. This displays the companies whose data is stored in that location in the List of Companies . You can even give the path of a network server or any other storage device. Name

Enter the name of the company whose books are being opened. If you are a professional accountant and are maintaining the books of your clients, give the Client Company's name. Mailing Name and Address In addition to the Company Name, Tally provides the facility to enter the Mailing Name field. It displays the Company Name by default. You may change it as required, if the mailing name is different from the Company Name. The mailing name and address details are picked up for inclusion in any report that needs the company name and address as heading. For example:Balance Sheets, Statement of Accounts, and so on.

Tally's reports print the mailing name and address as given:

T ally does NOT restrict the number of lines for the address details. Tally accommodates all the entered information and vertically compresses the same. Note: 1. In the space provided for the A d d r e s s details, observe the vertical compression as compared to the Mailing Name field where there is horizontal compression. 2. You can specify any length for the mailing name and you are permitted to give any number of lines for the address. The information is completely visible. 3. Tally handles compressed information correctly while printing. It adjusts the reports accordingly. Statutory compliance for Select the Country from the List of Countries . The Statutory Features and Base Currency Symbol are enabled in accordance with the country selected. For example, if the accounts belong to a company in India, the base currency would be Indian Rupees. The Base Currency will appear with respect to the Country selected. Selecting India from the List of Countrie s brings up a State , Pin Code and Telephone No . field. State You can select the appropriate state from the predefined list. PIN Code Specify the PIN Code (Postal Index Number) of the specified address. Telephone Enter the Telephon e number. E-mail Address Enter the E-mail address that will be used to e-mail documents, reports and data from Tally.

Currency Currency symbol is the symbol of the base currency, that is, the currency that will be used to maintain the books of account. The symbol Rs. appears by default for India/SAARC Companies and the field is left blank for International Companies. Maintain

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Tally displays a drop down for the Type of Company with two options Accounts only and Accounts
Inventory

with

Select Accounts only if you do not have any inventory transactions (suitable for professionals and corporate offices). Select Accounts-with-Inventory , to maintain CONVERTER PRO BY THETA-SOFTWARE UNREGISTERED VERSION OF CHM TO PDF both financial accounts and inventory. Financial Year From In most countries, the books of accounts of a company are maintained for a stipulated period like, 12 months, 15 months, and so on. This stipulated period is referred to as the Financial Year . The stipulated period of the financial year is 12 months in most countries. Tally automatically considers 12 months from the date you give here as the Financial Year. For example, if you enter April 1, 2005 as the date, the Financial Year will be from April to March ending with March 31, 2006. If you enter October 1, 2005 as the Financial Year From then the financial year will be from October 2005 to September 2006 ending with 30th of September every year. Tally allows you to maintain data for multiple years by changing the period ( Alt+F2 ) at the Gateway of Tally . In addition, you can also specify the date of actual establishment of the company (date of incorporation) Books Beginning From Tally presumes that you wish to maintain books from the beginning of the financial year. Hence, Tally displays the date given in Financial Year From field automatically. The date for Books beginning from can be changed, in case of companies, which are incorporated in the middle of the year. If your company is new, you can opt to start the books of accounts from the date of actual establishment of the company (date of incorporation) but close books according to the Financial Year as specified by you. Tally provides the required flexibility in such a case by allowing you to give the date when the books of accounts actually began. Tally will open books from this date and close as on the last day of the Financial Year. For example, if your company is established on August 19, 2005, the opening balances for all the accounts can be given as on August 19, 2005 even though the Financial Year given is April 1, 2005 (April to March financial year). The company's books will begin on August 19, 2005 and close on March 31, 2006, which ensures smooth transition to the next year. This concept can be applied even when you are migrating to Tally from any other system or from a manual accounting system on any day during the Financial Year. Close books in that other system on the previous day and start books on Tally from this day. You are allowed to give opening balances of all Ledger accounts including Revenue accounts. TallyVault Password TallyVault is an enhanced security system, which allows for encryption of the company data. Encryption involves converting normally accessible Tally information into unrecognisable information, which can only be reconverted by authorised persons. Give a password here and repeat the same in the Repeat field. This basically results in the creation of an encrypted company whose information is not accessible to users other than the password holder. However, at a later date (if required) you can choose to alter the information as Accounts-with-Inventory .

Use Security Control? Set this to Yes , if you want to initiate a password-protected system to control access to Tally data. Else, set this to No . If you opt for security control, Tally offers a comprehensive password based access control to different features of Tally based on authority lists created by the Administrator. (The section on Security Control under Administer Tally contains details on authority lists)

Name of Administrator, Password, Repeat Assuming the Tally Vault Password and Use Security Control is set to Yes enter the Name of Administrator , Password and Repeat in the respective fields. Use TallyAudit Features Tally Audit allows the administrator or an auditor profile user to track changes in accounting information. If you wish to use this facility, select Yes . Tally Audit will be available only to the administrator/auditor, through Display of Statements of Accounts . It will be discussed in greater detail under the Security Control section in Administer Tally. On accepting the company creation screen, if you have specified Tally Vault password, Tally prompts you to enter the TallyVault password as appears:

Then Tally prompts you to enter the Name of User and Password (if any) .

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

After verification Tally imports the latest statutory masters. Wait till the screen shows that 100% of import is complete.

This completes the Company Creation process in Tally. An explanation on the fields on the bottom of the Company creation screen follows: Base Currency Information The Base Currency Information is found in the bottom frame of the Company creation Screen. Base Currency is the currency in which your accounts would be maintained. Financial statements are prepared in the base currency by default and these are normally required to be submitted to local statutory authorities. The Base Currency information in Tally varies with the country selected for Statutory Compliance. You can record transactions and raise invoices in foreign currency; and also maintain bank accounts or ledgers in foreign exchange, when required.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Base Currency Symbol
The currency symbol given earlier in the Company Creation screen is displayed here automatically. Tally uses this currency symbol in reports, wherever necessary.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Formal Name
Formal Name is the full name of the currency specified. The Formal Name for the base currency is set to Indian Rupees for Indian Companies .

Number of decimal places
The number of decimal places for the base currency is set to 2 by default. However, you have the option of specifying up to 4 decimal places. Indian currency has 2 decimal places whereas certain other countries require 3 decimal places and so on.

Show Amounts in Millions
This is useful for companies, which require reporting the financial statements in millions. This is possible only if Allow Multi-Currency is enabled in F11: Features .

Is Symbol Suffixed to Amounts
For countries, which specify the symbol after the amount (value) – this facility is provided. For example, Yen is specified after the amount (5000 Yen) unlike in India where the symbol is specified before the amount (Rs.5000)

Put a space between Amounts and Symbol
This facility is provided to users who require a space between the amount and the symbol. However, putting a space between the amount and symbol could give an opportunity for misuse incase of cheque printing. Hence, the flexibility to turn this option on and off as required is provided.

Symbol for Decimal Portion
Enter the symbol for decimal portion.

Decimal Places for Printing Amounts in Words
You can specify the number of decimal places for printing the amount in words. This number should be equal to or lesser than the number specified in Number of Decimal places field in company creation or currency master screen which will appear in Invoice and Cheque printing screen. For example, if the currency is expressed upto 3 decimal places, the numeric to be printed in words can be restricted to 2 decimal places N o t e : The Name of the Company , cannot be translated or transliterated but will appear in

the

Language

created.

Loading a company

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
1. 2. Automatically by Tally. Using the Select Company option

A newly created company loads automatically. However, for subsequent working, you must load or select the company you want to work with from the List of Companies. (Select and Load are synonymous). A company can be loaded in two ways:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Tally Loading the Company Automatically

When creating a company, Tally creates a sub-directory under its \DATA directory for the company. The directory is allotted a number in serial order starting with 0001 (example – 10001, 10002…10009...10020, etc these are system generated codes for the company). In order to automatically load a company, Tally has to be configured appropriately by setting the Tally.ini file (available in the Tally directory). Ensure that Default Companies is set to Yes and specify the company number which has to be loaded automatically, for example, Load = 10000 N o t e : You can specify any number ( 1 0 0 0 0 or 1 0 0 0 2 or 1 0 0 0 3, e t c ) here as per the information available in the data directory

Example of sub-directories created by Tally for different companies:

Loading a Company using the Select Company option

In order to load a company using the Select Company option, disable the default loading of a company in Tally.ini file. Set Default Companies to No OR place a semi-colon before Load = 0001 (company number placing a semicolon means that the words following it in that line would not be executed. Each line is a separate UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE command). On double-clicking the Tally icon, the screen appears as:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

You can use the Select Company option in two ways, from the Company Info. Menu OR by using the button F1: Select Cmp (available on the Gateway of Tally screen).

Select Company

Press Enter on Select Company or use the button F1: Select Cmp. Tally displays this screen

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Tally displays 1. 2. 3. Company Name (All the companies created are displayed) System-generated code for each company displayed The Financial Year information relating to the number of years data present in the company

N o t e : The system-generated code for each company is displayed to identifying which company you wish to work on in case you have the same name (as displayed in the above screen). Select the required company to go to the Gateway of Tally for that company.

assist you in multiple companies

with

Gateway of Tally

Gateway of Tally is the screen that appears on selecting a company. The Gateway of Tally menu differs based on the type of company selected. An Accounts Only Company has a different Gateway of Tally menu from that of an Accounts-with-Inventory Company.

Gateway of Tally of an Accounts Only Company

The Gateway of Tally menu of an Accounts Only company appears as shown below:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The Gateway of Tally screen is separated into four sections – Title Area , Main Area (Ctrl+M) , Calculator Area (Ctrl+N) and the Button Bar .

Main Area
The left side of the Main Area gives information on: 1. 2. 3. Current Period – which is the currently loaded company's accounting period. Current Date – This is the date of the last Voucher Entry for the selected company.

1. 2. 3. List of Selected Companies – This displays the name of the loaded company.

The Main Area gives information on: 1. 2. 3. Creation of Accounting Masters and Importing Master information Creation of Accounting Vouchers and Importing transaction information Viewing and printing financial reports using the information given in Masters and Transactions.

Button Bar
The Button Bar displays the following buttons (keys): 1. 2. 3. 4. 5. 6. 7. 8. 9. Help (Alt + H) – To access Tally's online context-sensitive help F1: Select Cmp – To select a company F1 : Shut Cmp – To shut or close the company F2: Date – To change the current date F2 : Period – To change the period F3: Company – To select a different company. F3 : Cmp Info – To access the Company Info. Menu F11: Features – To access the Company features for a company F12: Configure – To access the configuration settings

Note: You cannot load companies with the same name at the selected company will have to be shut first in order to load

same time. The loaded the other company.

or

Gateway of Tally of an Accounts-with-Inventory Company

The Gateway of Tally menu of an Accounts-with-Inventory company appears as shown below:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The Gateway of Tally screen is separated into four sections - Title Area , Main Area (Ctrl+M) , Calculator Area (Ctrl+N) and the Button Bar .

Main Area
The left-hand side of the Main Area gives information of 1. 2. 3. Current Period – The currently loaded or selected company's accounting period. Current Date – The date of the last Voucher Entry of the selected company (this is NOT the calendar date).

1. 2. 3. 4. List of Selected Companies – This displays the name of the loaded or selected company. Masters – This is for creation of Accounting Masters and Inventory Masters and Importing Master information. Transactions/Vouchers - This is for creation of Accounting Vouchers and Inventory Vouchers and Importing transaction information. Reports – This is for viewing and printing financial and inventory reports using the information given in Masters and Transactions.

5.

6.

Button Bar
The Buttons on this screen and their function: 1. 2. 3. 4. 5. 6. 7. 8. 9. Help (Alt + H) – To access Tally's online context-sensitive help F1: Select Cmp – To select a company F1 : Shut Cmp – To shut or close the company F2: Date – To change the current date F2 : Period – To change the period F3: Company – To select a different company F3 : Cmp Info – To access the Company Information Menu F11: Features – To access the Company features for a company F12: Configure – To access the configuration settings to manage the information in Tally.

N o t e : You cannot load more than one company at one company will be shut first and then the other company

time. The is loaded.

loaded

or

selected

Company Info. Menu

The Company Info.(Information) menu appears as shown below::

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The menu options in the Company Info. are as follows

Select Company
Allows you to Select or load a company.

Shut Company
Allows you to shut a company.

Create Company
Allows you to create a Company.

Alter
Allows you to alter a company.

Change TallyVault
Allows you to secure the data by providing a TallyVault password.

Backup
Allows you to take a backup of the company data.

Restore
Allows you to restore a data backup.

Shut a Company

Shut a Company is to unload it. It does not mean that you have deleted it. Simply select it again to load and work on it again.

UNREGISTERED VERSION OF CHM–TO PDF CONVERTER PRO BY THETA-SOFTWARE Enter on You can shut a company in two ways either using the button F1 : Shut Cmp (Alt + F1) or pressing
Shut Company menu option on the Company Info. Menu. The screen appears as shown below:

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Select the company to be shut from the List of Primary Companies .

Alter a Company

You can modify any information at any time that is set while creating a company. 1. 2. 3. Go to Gateway of Tally Select F3 : Cmp Info. (ALT+F3) from the button bar Select Alter and press Enter and the screen appears as shown below:

Make the necessary changes in the required fields. To change the password if Use Security Control is set to Yes : 4. 5. 6. 7. Enter the Name of Administrator. Enter the new password. Re-enter the password in the Repeat field to confirm. Enter the Old Password and Accept the screen to alter the company.

Delete a Company

To delete a company, you have to load the company first. 1. Select F3: Cmp Info. CHM TO PDF CONVERTER PRO proceed to the Company Information UNREGISTERED VERSION OF(ALT+F3) from the Gateway of Tally toBY THETA-SOFTWARE menu.

2. 3. 4. 5.

Select Alter and press Enter. Select the company to be deleted. The Company Alteration screen is displayed. Use Alt + D to delete. Tally will prompt for a confirmation on deleting the company. Press enter to delete the company.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

N o t e : Deletion the system.

of

a

company

is

irreversible.

The

company

is

permanently

deleted

from

Group Company

The books of Account of different companies belonging to the same management or owners are required to be consolidated to present the financial position of the group of companies as a whole. This is mandatory in many developed countries and currently shareholders would rather know the performance of the group as a whole and not the performance of individual constituent companies. Tally makes consolidation of accounts a simple task. You can consolidate the accounts of any number of companies as well as keep them separate. You also have the option of bringing the companies into the group and separating them at will. The first step is to create a Group Company, which is simply a name and identity given to the merged accounts of constituent (member) companies of the group. A group company may also include other group companies. N o t e : Do not confuse the contains the consolidated word Group to refer to accounts of member a member companies. of the group! It simply

Assume that yours is a global, trans-national organisation (or a 'group') headquartered in the UK having subsidiary companies in countries around the world. The group has different lines of business. Let's say the businesses are Thread, Fashion Retail, Home Fabrics and Accessories. You would prefer to present your group accounts in groups according to their line of businesses, which in turn are grouped accounts of the individual companies around the world. The accounts structure would look something like this:

Creating a Group Company

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A group company can be created only for companies that have already been loaded. The first step is to load the companies whose accounts are to be grouped. The companies can be loaded automatically if specified in the Tally.ini file. Alternatively, select the companies using F1: Select Cmp button, as shown:

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Press <ALT>+F3 or click the button [F3 : Create Cmp ] and select Create Group Company Enter the name of the Group Company (which is mandatory), address and tax details and select the members of the group company from List of Companies. Say, you have selected the two members as shown. Select End of List to complete the selection process

The Group company Thread will be created and loaded. It also becomes the active company. Notice that the constituent companies are given below the group company and are slightly indented to distinguish the Group company.

You can now display and print Group accounts through the Thread Company.

Altering a Group Company

Use Alter to change/modify the details of a Group Company.

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

A Group Company is marked with an asterisk. You can select or reject members using the Alter Mode. Any change will come in to effect only on shutting the group company and then reloading it.

The Group Company must contain at least two members.

It is possible to combine accounts of different companies.

Create as many Group companies as you need.

A constituent company can be a member of more than one group.

A group company can also be a constituent of another group company.

Note: * It is advisable * If the member Company cannot

not to delete the member company, which belongs to Group company has a password then without entering the password be opened.

Company the Group

For example, by selecting the two group companies Thread and Fashion Retail, the new group company The World-wide Textiles Inc. becomes the overall holding company, as shown.

Security Control

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In an ideal company scenario, there will be more than one person working on Tally. In such a case, not every person needs to be given the full access. The head of the department/ Administrator should be able to create different users and assign their rights to them. Tally has a very customisable security system. You can set up Security Levels and users who are placed at these levels. The authority levels or Types of Security decides the rights of the users while using Tally.

To create Security Levels

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
1. 2. 3. 4. Go to Gateway of Tally, select F3: Cmp Info. > Create/Alter Company In the Company Creation screen set Use Security Control to Yes. Enter the Name of the Administrator. Enter your Password and reenter the password for verification. The password is not displayed for security reasons. Accept Yes to save the changes made.

5.

More: Types of Security (security or authority levels)

Types of Security (security or authority levels)

Tally has two default Security Levels. One is Owner and the other Data Entry. Owner has full access and rights to all features of Tally, except Tally Audit & Company Alteration screen, which are reserved for the Administrator alone. Data Entry has restricted rights. You are allowed to create other security levels based on these pre-defined types and allow or restrict rights as required.

Create a New Security Level

You can create New Security Levels and define task wise access rights. To create New Security Level:

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The Security Levels screen is displayed as shown below:

Go to Gateway of Tally, select F3: Cmp Info. > Security Control> Types of Security

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1. 2.

Type the New Security Level, e.g. Manager Press [Enter] to display the Level Definition screen

More: The level definition screen

The Level Definition Screen

A brief description on all the fields in the Level Definition screen follows:

Name of security level
This defaults to the name you have created.

Use Basic Facilities of
The default is Owner . You can select the other option Data Entry from the Security List . If the company has other user defined Security Levels, these are also displayed in the Security List . The new level created will be available in the Security List the next time you create a Security Level.

Days allowed for Backdated vouchers
This is the number of days the users of this Level are allowed to create backdated vouchers. Specifying 0 will indicate that back-dated vouchers are not allowed, and 7 will allow the user at this level to insert vouchers going back 7 days.

Cut-off date for Backdated vouchers.
Specify the date before which users of this Security Level may not create or alter vouchers. This is additional control over and above the previous Days allowed for Backdated vouchers . This is useful in cases where you have completed your Tax Assessment for a period and no changes are desired in the data for that period.

Disallow the following facilities/Allow the following facilities
The screen is now divided into two broad columns each having two sub-columns. The left side of the screen is to disallow access to the various options of Tally. The right side allows the Security Level access for the different options. When the cursor is on an access rights filed, the Type of Access list is displayed. Select an option from the list. The options sought to be controlled like Accounts Masters, Balance Sheet etc. are on the right (the second column from the left)

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

To disallow access to different options, first select the type of access from the Type of Access list. Then select the reports for which the access rights are restricted from the List of Reports . Repeat the procedure till you have set access rights for different reports. When you select a type of access, this type of access would be restricted for the corresponding report selected. For E.g if you select Full Access for Balance Sheet , the user will not have any access to Balance Sheet by this security level. Conversely, under Allow the following facilities , if you select Full Access for Balance Sheet , the user will have full access. Select [End of List] at the Type of Access field to complete the process. You are taken back to the screen Security Levels for Company at a blank field following the one you just created. To create the next level, type the name and follow the same procedure. Otherwise press Enter key at the blank field and Accept , Yes to save.

Users and Passwords

To create different users who belong to one or more different Security Levels or Types of Security Go to Gateway of Tally, select F3: Cmp Info > Security Control > Users and Passwords The List of Users for Company screen is displayed.

A brief description of all the fields in the List of Users for Company screen follows: Name: The selected company name is displayed here automatically. Name of User: Enter the name of the user. Password (if any): Enter the password if required. Security Level: Select the security level from the Security List. N o t e : You need to create Security Levels before levels available viz. Owner and Data Entry. creating users or the default security

Altering/Displaying Users and Passwords and Types of Security
There is no separate menu option to alter or display Users and Passwords and Types of Security options. Use the same menu to display or alter user or security level set-up. To delete a User, delete the Name of User and Password and Accept, Yes to save. Do the same for deleting a security level. If you have defined a user under a security level, then the security level cannot be deleted before deleting the users under it.

Tally Audit

Tally Audit provides the capability to the administrator/auditor to track changes in the accounts following his previous review. Changes of two areas are very important – changes in Transactions or Vouchers and changes in Ledger Masters. Only changes that affect the integrity of a transaction are considered. For e.g. a change in the narration does not affect the integrity PDF CONVERTER PRO BY THETA-SOFTWARE UNREGISTERED VERSION OF CHM TOof a transaction and will not be considered as a change. Any material change in a voucher is logged. The name of a ledger account if changed is material and hence it would be tracked. Tally Audit feature should be enabled while creating the Company and creating Security levels. Only a user designated as an auditor or the administrator can view the audit list and act upon it.

To enable Tally Audit: UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
1. 2. 3. Go to Gateway of Tally Select F3: Cmp Info. from the button bar In the Company Creation/Alteration screen set Use Tally Audit Features to Yes.

You are not required to make any additional input of data. The authorised user needs to just display Tally Audit lists and may print out the lists. If he is satisfied with the authenticity of the changes, he accepts the changes either selectively or all of them (by clicking on the relevant button). Once the changes are accepted, they are removed from the audit list and will not be displayed again. More: Viewing TallyAudit Lists

Viewing Tally Audit Lists

Go to Gateway of Tally > Display > Statements of Accounts >Tally Audit

You can view changes made to Vouchers and Ledgers. More: Displaying Audit List for Vouchers Displaying Audit List for Ledgers

Displaying Audit List for Vouchers

T his option tracks changes in vouchers, which are more than 30 days old.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
The Tally Audit Listing screen is displayed as shown below

Go to Gateway of Tally > Display > Statements of Accounts > TallyAudit > Vouchers

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The three buttons relevant to the audit list. 1. 2. 3. F7: Accept one F7 : Accept All F12: Configure

F 12: Configure
Select F12: Configure or press [F12] from the Tally Audit Listing screen

Set Show Entered/Altered By to Yes . The listing now incorporates the user's name.

Print the list if necessary. Assess each of the entries for authenticity and accept. To accept the entries one by one, place the cursor bar on the relevant voucher and press F7: Accept One button. This accepts the voucher as valid and removes from Tally Audit List. To accept all the vouchers at a time, press F7 : Accept All . N o t e : Do a disciplined verification of the list so that it is periodically cleared and vouchers that are of concern remains. Once you accept an entry it is not available listing. Hence it is recommended that you take a print before acceptance. only for

Displaying Audit List for Ledgers

To display the changes made to Ledger Masters :

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The Audit Ledgers screen is displayed. The listing here differs from the vouchers by two ways: 1. It allows you to display all Ledger Accounts and toggle between the ones that have been changed – (by pressing the toggle button F6:All Accts/Audit List ) activate Tally Audit sometime after you are well through the accounts, the user names will not be displayed. In such cases, accept the list after verification. Any changes henceforth, would give the user names).

Go to Gateway of Tally> display> Statements of Accounts> Tally Audit> Ledgers

UNREGISTERED VERSION OF CHM not available; but the list displays user names if available. (If you 2. The F12: Configure button is TO PDF CONVERTER PRO BY THETA-SOFTWARE

The modification could be in the Name or in the Opening Balance of the Ledger. The name is considered important as a creditor's name could be changed to some other name with malafide intentions. Please note that you need to identify a change even in cases where two names are interchanged. This would enable identification of fraudulent transfer of account balances. You can identify the Ledger Account by the ID assigned to each of them. You must first take a print of all the Ledger Accounts with their original ID with which you can match subsequent audit lists.

Introduction

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The security of data, financial or otherwise, has always been a matter of concern. Most business depend on the confidentiality of information. Tally Vault is an enhanced security system, which allows for encryption of the company data with the most secure method of encryption being used. Tally Vault ensures that under no circumstances, the original information is available in any form to anyone other than the administrator. The technique could be likened to "encryption-decryption-on-the-fly", and the decrypted form of data is never stored in the system. Apart from this, it uses the "non-stored password" mechanism and highly advanced mechanisms to validate a new user without any prior knowledge of the original password. The combination of these facilities ensures that Tally Vault becomes one of the most secure means of information storage.

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Enabling Tally Vault Password for Existing Companies

Tally Vault password can be given in the Company Creation screen at the time of creating a company. For existing companies, which do not have a Tally Vault password, the procedure is: 1. 2. 3. Load the desired company From Gateway of Tally , select F3 : Cmp Info > Change Tally Vault . The Change TallyVault screen is displayed prompting you to select the company from the List of Simple Companies in the Name field. Select the company from the list. Enter the new Tally Vault password in the New Password field.

4.

5. 6.

Re-enter the password in the Repeat New Password field. Once you encrypt the data, the company name no longer becomes visible to anyone and appears as shown below:

7.

7.

Now if you select the company, Tally will prompt you for the Tally Vault password.

UNREGISTERED VERSION OF procedure, one can ensure that data is kept confidential and is available 8. By following the above CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
administrator (initiator of the Tally Vault! ).

only to

Changing Tally Vault Password

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To change the Tally Vault Password of a company: Go to Gateway of Tally , select F3 : Cmp Info > Change Tally Vault The procedure is the same as described in Enabling Tally Vault Password for Existing Companies . An additional field Current Password is displayed. Enter the existing password in this field. Enter the new password in the Repeat Password and Repeat New Password fields and save the changes.

Backup

Tally has a flexible backup mechanism where in you can take a backup of the data from virtually any storage medium into any other medium. The more commonly used media are floppy drive, hard disk drive, zip drive, tape drive, etc - installed either locally or on a network. In the backup screen, the source of the backup and the destination of where it has to be stored have to be given and Tally will do as required. More: Taking a Backup Backup Precautions

Taking a Backup

T he procedure for taking a backup is as follows 1. Go to VERSION OF , select F3 PDF Info > Backup UNREGISTEREDGateway of Tally CHM TO : Cmp CONVERTER PRO BY THETA-SOFTWARE 2. 3. The Backup Companies on Disk screen is displayed.

To change either the Source or the Destination paths, use the [Backspace ] key and change the path as required. Specify the paths of the Source and Destination drives. Incase we want to take a backup onto another system on OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE UNREGISTERED VERSIONthe network the Destination path will be \\machinename\drivename\directoryname. The process of backing up data begins when at least one company is selected for the same from the List of Companies . To stop selecting companies, select the option End of List , which appears at the top of the selection list. 4. The backup file is stored as TBK900.001 . If the backup is taken in a medium likely to extend more than one – for example, floppy, then the extension digits (10001, 10002 and so on) will be stored accordingly.

The Backup screen appears as:

N o t e : If TallyVault password only one company at a time

is enabled for a company, from the list for a backup.

Tally

will

allow

you

to

select

Backup Precautions

Data on a computer is vulnerable to all types of difficulties. Considering the same, it is important that we do not overlook the importance of regular backing-up of data regardless of the stability of the database. With a little planning and forethought, we can ensure that maintenance of the important data is continuous and hassle-free. Depending on the volume of data entry, an appropriate backup mechanism will have to be devised. One method of achieving it will be by maintaining a backup directory in the local hard disk or the server (external storage media such as the floppy disk, zip diskette can also be used). We can have sub-directories for every day of the week under the main backup directory and regularly take data backups in the following manner depending on the day of the week. Monday – C:\TallyBackup\Monday Tuesday - C:\TallyBackup\Tuesday and so on till Saturday. N o t e : Tally backup facility is not limited data onto other storage devices also to the Hard Disk drive alone. You can backup

The above procedure ensures that there exists a reliable data backup at any given time. In order to use that reliable data backup or bring back the data from that existing data backup you have to use the Restore option. Important: It is preferable NOT to restore a backup onto the original data directory primarily to ensure that No data is overwritten unintentionally.

Restore

Restore literally means to bring back. Similar to backing up of data, Tally allows restoring of data from any medium into any other storage medium. The Restore Companies on Disk screen is displayed as shown below:

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

More: Restoring Data: Restore Precautions

Restoring Data

The procedure for restoring data is as follows 1. 2. 3. 4. Go to Gateway of Tally, select F3: Cmp Info > Restore The Restore Companies on Disk screen appears. The Source and Destination paths displayed in the screen are those that were used last. The Source field has to have the appropriate path. It is the path from which you intend to bring back the previous data. Accepting the path will read the contents of the particular file and will then display the list of companies available. Select as required and restore the data accordingly.

5.

Restore Precautions

It is preferable NOT to restore a backup onto the original data directory primarily to ensure that No data is overwritten unintentionally.

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Split Financial Years

Tally's flexible period less accounting permits entry of data for any number of years. This in itself has tremendous benefits. However, presence of old data in cases where they are voluminous causes greater overhead on the system. Splitting financial years enables you to retain most benefits while overcoming this overhead. When you split the data, two things happen: 1. 2. New companies are created for the respective split periods. Full data is retained in the original company.

Important pre-split activity
Note: Not carrying out these will result in mismatched information.

Before you split data, ensure that: 1. All unadjusted Forex gains/losses have been fully adjusted by journal entries. Verify that the item does not appear in the Balance Sheet. There are no Purchase Bills/Sales Bills due. Check the Profit & Loss Account and Inventory Statements – Purchase/Sales Bills Pending. You may account them to the respective party accounts or to respective 'Bills Pending' Account. Ensure that a backup of the data exists.

2.

3.

N o t e : For users of Sales/Purchase Order not carried forward, you should not split data the outstanding orders afresh More: Splitting Financial Years

Processing if you do,

features: Since be aware that

open orders are you have to enter

Splitting Financial Years

The procedure for splitting financial years is as follows: 1. Go to VERSION OF select F3: PDF CONVERTER PRO BY THETA-SOFTWARE UNREGISTEREDGateway of Tally,CHM TO Cmp Info 2. 3. Select Split Company Data. Select the Company whose data is to be split from the List of Simple companies .

UNREGISTERED VERSION OF CHMdate based on the data existing. It is recommended that the Split from date 4. Tally recommends the split-off TO PDF CONVERTER PRO BY THETA-SOFTWARE
is set as the beginning of the latest financial year though Tally permits any date. 5. Splits occur in sets of two periods. Hence, start with the latest. For example to split three year’s data of a company from 1-1-2003 to 31-12-2005 into three separate 'companies' each with a financial year select the beginning of the latest financial year (this is what Tally prompts you to do). On confirming the activity, two new companies will be created – one with data from 1-1-2003 to 31-122004, i.e., two years, and the other for 1-1-2005 to 31-12-2005.

6.

Typically, this is all you need to do. Your historical data, whether of 1 or more financial years, will be preserved as one company, and your current financial year, as the other. There is normally no reason or benefit to split the prior years again into separate years. However, should you wish to do so, repeat the above steps for the prior period. All the companies are full companies in their own right. Data can be entered, displayed and altered. Please display or print the key financial reports (Trial Balance, Balance Sheet, Profit & Loss, Stock Summary etc.) from each of the companies for the relevant periods and compare them for accuracy. Once you are satisfied that you have a successful split, it is advisable to backup the original company onto diskettes and permanently delete its data from your hard-disk. This will ensure that you do not accidentally use it to enter fresh data. To delete a company, press Alt+F3 at the Gateway of Tally, select to Alter it, and at the point where you can modify the Company Information, press Alt+D. You will also need to alter the names of the two freshly created companies to suit you.

Activate Company Features (F11: Features)

The different features of a company can be selected or modified by F11: Features button. This button is available in almost all screens of Tally as you might wish to modify it as your requirements change. Unlike F12: Configure , F11: Company Features is specific to the current company only. Therefore, each company may have different features active. For example, a company in your group may need multi-currency whereas another company may not. Configuration options, on the other hand, affect all companies maintained in the same Tally directory and setting configuration for one company will affect other companies in that data directory. Note: Certain features like multi-currency and multi-locations, once set to Y e s , cannot be modified if the feature has been used. However, other features like Cost Centres and Bill-wise details can be modified even if they are used. If you reset the option after having used the feature in transactions, it is advisable to rewrite the company by using CTRL + ALT + R . Go to Gateway of Tally > F11: Features The F11: Features menu displays as shown

The menu consists of the following options. Accounting Features Inventory Features Statutory & Taxation

There are various settings available under Accounting Features , Inventory Features and Statutory & Taxation Features in Company Operations Alteration screen, which determine the information to be keyed in during transaction entries. A discussion on each of the options follows.

Accounting Features

This feature enables you to set the various Accounting Features required for the transaction entries. Go to Gateway of Tally > F11: Features > F1: Accounts

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

General
Integrate Accounts and Inventory
This option has a significant effect on the Balance Sheet and Profit & Loss Account. If set to Yes , it brings the stock/inventory balance figures from the inventory records and provides a drill down to the Stock registers from the Balance Sheet. If set to No , it ignores the inventory books figures and picks up manually entered closing stock balances from the ledger account created. This provides the facility to maintain accounts separately and inventory separately. Stock records often contain compensating errors caused by wrong allocation to items and the like. This feature enables finalisation of financial books without waiting for reconciliation of stocks that may take time.

Income/Expense Stmt Instead of P & L
Enable this option if you need an Income & Expenditure Statement for Non-Trading accounts. Profit & Loss statements are generally used for trading accounts.

Allow Multi-Currency
Set this option to Yes , if you want to create multiple currencies. The option Currencies is displayed in Gateway of Tally > Accounts Info. menu only if you set this option to Yes .

Outstandings Management
Maintain Bill wise Details
The Bill-wise facility is turned on by setting this option to Yes . By activating the Billwise feature in F11: Features , the ledger masters under Sundry Debtors and Sundry Creditors automatically displays an additional option called Maintain balances bill-by-bil l. On setting this option to Yes , you get an additional option Default Credit Period . When you enter details of sales and purchases with Bill-wise turned on, Tally prompts you to identify the invoice with an appropriate reference number. The reference can then be used to allocate payments to the correct invoice to maintain an accurate account of outstanding.

(For Non-Trading A/cs also)

If you want to maintain bill wise details for Non-Trading Accounts also, set this option to Yes . Bill wise Details for Non-Trading Accounts is useful in those cases where one needs to track either an installment to be paid or a loan amount to be received over a certain period of time.

Activate Interest calculation
Set this option to Yes to enable Tally to calculate interest automatically based on the interest rate and style of calculation specified. Enabling this option allows interest calculation on outstanding balances for any ledger account or on each invoice for the period it is outstanding completely or partly.

Use advanced parameters

The advanced parameters are particularly useful where interest rates change from time to time. Set this option to Yes to enable this.

Cost/Profit Centres Management
Maintain Cost Centres
A Cost Center can be defined as a unit of an organization to which transactions can be allocated. When only costs or expenses are allocated to these units, they are referred to as Cost Centres . The Cost Centre feature is activated by setting this option to Yes .

Use Cost Center for Job Costing

To track all income and expenses for a project, set this option to Yes.

More than ONE Cost category

To create more than one Payroll or Cost Category, set this option to Yes.

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Use Pre-defined Cost Centre Allocations during Entry

Set this option to Yes to define Cost Centre Allocations. Refer Set up Cost Centre Classes for more details

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Invoicing
Allow Invoicing
Set this option to Yes , to create Sales and Purchase vouchers in invoice format. The advantage of using the invoice format for sales invoice entry is that it enables automatic calculations of Duties and Taxes accounts.

Enter Purchases in Invoice Format

Set this option to Yes , to make the invoice mode as the default voucher mode for purchase vouchers.

Use Debit/Credit Notes
The Debit Note and Credit Note voucher types are made available only if this feature is set to Yes.

Use Invoice Mode for Credit Notes

Set this option to Yes to create Credit Notes in Invoice Mode.

Use Invoice Mode for Debit Notes

Set this option to Yes to create Debit Notes in Invoice Mode.

Budgets & Scenario Management
Maintain Budgets and Controls
Set this option to Yes, to create multiple budgets. The Budgets menu option is displayed in Gateway of Tally > Masters Info. > Accounts Info. menu only if this option is set to Yes .

Use Reversing Journals & Optional Vouchers
Setting this option to Yes displays the Scenario option in Accounts Info menu. You will now be able to create and alter Scenarios. You can enter the Reversing Journal and make it to Optional for entries not to affect the books.

Other Features
Enable Cheque Printing
Set this option to Yes , to enable Cheque Printing. Refer Cheque Printing for details.

Set/Alter Cheque Printing Configuration

Setting this option to Yes , Tally will allow you to Alter the Cheque Printing Configuration

Allow Zero Valued Entries in Vouchers
Set this option to Yes , to allow Zero valued entries in vouchers. N o t e : You using F1, F2 can toggle between the Accounts, and F3 keys or using the options Inventory on the and the Statutory features Button Bar respectively. screen

Inventory Features
This feature enables you to set the Inventory Features required for the transactions. Go to Gateway of Tally > F11: Features > F2: Inventory

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

General
I ntegrate Accounts and Inventory
This field performs the same function as explained in Accounting Features .

Allow Zero Valued Entries in Vouchers
Set this option to Yes , to allow zero valued entries in vouchers.

Storage & Classification
Maintain Multiple Godowns
Set this option to Yes , if you have more than one stock point/storage Locations/ Godowns, and you want to track stock movement in these Locations. You can create any number of Stock Locations/Godowns. The Godowns/Locations option is displayed in Gateway of Tally > Inventory Info. menu only if you set this option to Yes. You will be able to know your stocks at each location as well as assign stock movement to one or more

locations during voucher entry.

Maintain Stock Categories
Set this option to Yes , if you wish to create and maintain Stock Categories. This creates a new field Category in the Stock Item Creation screen.

Maintain Batch-Wise Details
Set this option to Yes , to maintain batch information pertaining to Stock Items. A new field Maintain in Batches is displayed in the Stock Item Creation screen. N o t e : Batches should be used where they are small in number and remain constant. Do not use the batch option for tracking of lots through manufacturing processes. If that is done, you will soon have a large number of batches that are not deleted. You will not be able to assign costs to particular lots, as may be the intention.

Set Expiry Dates for Batches

Set this option to Yes , if you want to set expiry dates for the batches. This displays an additional field Use Expiry Dates in the Stock Item Creation screen. This is useful for businesses that deal in goods that have expiry dates like medicines, food and other perishables. During voucher entry, date of manufacture of the product by default takes the date of the voucher. This date can be changed, but not to a date later than the voucher date. Expiry date cannot be a date prior to the voucher date.

Use different Actual & Billed Quantity
Set this option to Yes , if you want to specify quantities, that are different from that delivered/ received, when invoicing. For example, you have delivered goods but some of them are in disagreement. So, your customer wants to be invoiced only for the undisputed quantity. He/She might consider the rest later and would then like to be invoiced. On the other hand, the rest might be so bad that it is useless even for you to take it back. Hence, you can record the fact while raising the invoice without altering the delivery note or passing a rejection entry.

Order Processing
Allow Purchase Order Processing
Set this option to Yes , to create Purchase Orders.

Allow Sales Order Processing
Set this option to Yes , to create Sales Orders.

Invoicing
Allow Invoicing
This field performs the same function as explained in Accounting Features .

Enter Purchases in Invoice Format

This field performs the same function as explained in

Accounting Features .

Use Debit/Credit Notes
This field performs the same function as explained in Accounting Features .

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Use Invoice Mode for Credit Notes

This field performs the same function as explained in Accounting Features .

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Use Invoice Mode for Debit Notes

This field performs the same function as explained in Accounting Features .

Separate Discount Column on Invoices
This option is active only if Allow invoicing is set to Yes . Set this option to Yes , if you want a separate column for discount in invoices.

Purchase Management
Track Additional Costs of Purchase
Set this option to Yes , to obtain a break-up of purchase costs, without the need to separately debit ledger accounts for expenses. Typically, on purchases, one is interested in total costs and the breakup is of interest while doing analysis (except for expenses like VAT or Modvat, which can be claimed). In such cases, passing of accounting entries for expenses will have no consequences other than lengthening your ledgers. Example : Purchases from ABC & Co: 10 Pcs of Widgets@Rs.20 = Rs.200. Expenses incurred= Tax-Rs.20, Packing charges – Rs.15.40, Total purchase cost – Rs.235. If you activate Track additional costs , you can pass the entry in any of the following methods:

From an accounting perspective, both entries are identical. The ledger accounts Purchase Tax and Packing charges are not debited with the amounts. Hence these figures are reflected only as breakup or analysis figures of Purchases account. The Actuals figure reveals the total cost incurred on the Purchase and will also affect the stock value. You may also allocate additional costs on Purchases through subsequent entries or vouchers. The rules for including subsequent vouchers in purchase costs that Tally follows are: Basic Cost + Additional costs allocated (if any) + All costs in subsequent vouchers that have zero quantity, up to the first voucher that has a non-zero quantity.

Sales Management
Use Multiple Price Levels
Set this option to Yes to create Multiple Price Levels. Refer Enable and Create Price Lists for more details.

Additional Inventory Vouchers
Use Tracking Numbers (Delivery/Receipt Notes)
Set this option to Yes , if you want to use tracking numbers to maintain the relation between delivery notes and invoices/bills. This is available for both purchases as well as sales. Hence, if your business is affected by this situation either for goods received or goods sold, set this option to Yes . If you set it to No , you will not need the facility of separate delivery notes recording, as your Purchase and Sales Vouchers would double up as delivery notes.

Use Rejection Inward/Outward Notes
Set this option to Yes , if you wish to record rejection of goods separately and not through a common Debit Note or Credit Note.

Prepare and Follow British Style VAT Returns
If the Country Specific Configuration is set to International in the F12 Configure , then an additional field Prepare and Follow British Style VAT Returns is displayed. Set this option to Yes , to follow British Style VAT Returns. Unlike Excise Duty, this option simply controls the VAT Return preparation. More ledger level set up may be required, which is discussed under UK VAT Analysis .

The Company VAT Returns screen is displayed.

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If you deal with EEC countries, select a group for the fields Group Name under which ‘EEC Debtors’ are Classified and Group Name under which ‘EEC Creditors’ are classified from the list. It is advisable to group your EEC Customers separately under a sub-group under Sundry Debtors. Likewise, UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE group EEC Suppliers under a separate sub-group of Sundry Creditors. Take care to group only VAT registered companies in these groups as they would affect Box 8 and 9 as well as the EC Sales List. Unregistered companies or individuals (Distance Sales) should be grouped separately and treated like UK companies.) If you do not deal with EEC countries, Select Not Applicable .

Statutory & Taxation
This feature enables you to set the Statutory Features required for the Company Operations. This option is enabled only if a country is selected from the list of countries under the field Statutory Compliance for in the Company Creation screen .. Go to Gateway of Tally > F11: Features > F3: Statutory & Taxation

Note: The different features are available in the Company Creation screen.

depending

on

the

country

you

have

selected

The following features are available on selecting India in the Company Creation screen.

Enable Dealer – Excise (Set/Alter Dealer – Excise Details)
Set these options to Yes , to enable/alter the Excise for Dealers feature. Refer Excise for Dealers for further information.

Follow Excise rules for Invoicing
Set this option to Yes , to follow Excise rules for invoicing. The shown: Company Excise Details screen is displayed as

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Provide the above Excise information, for it to be printed on invoices and Accept , Yes to save.

Enable Value Added Tax (VAT)

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Set/Alter VAT Details
Set these option to Yes , to enable the VAT features for the company. Refer Value Added Tax for more details.

Enable Service Tax
Set/Alter Service Tax Details Set these option to Yes to enable the Service Tax features for the company. Refer Service Tax for further details.

Enable Tax Deducted at Source (TDS)
Set/ Alter TDS Details Set these option to Yes to enable the TDS features for the company. Refer TDS for further details.

Enable Tax Collected at Source (TCS)
Set/Alter TCS Details Set these option to Yes to enable the TCS features for the company. Refer TCS for further details.

Enable Fringe Benefit Tax (FBT)
Set/Alter FBT Details Set these option to Yes to enable the FBT features for the company. Refer FBT for further details.

Tax Information
Set this option to Yes to enter the Tax details of the Company.

Local Sales Tax Number
The Local Sales Tax Number entered during the Company Creation is automatically displayed in this field.

Inter-State Sales Tax Number
The details given here comprises of a number and date of registration (in India). This information, if given, can be printed on invoices. It is not compulsory to give this information and you may leave it blank.

PAN/ Income – Tax Number
The PAN/ Income Tax Number is the number allotted by the Income Tax Authorities. This number comprises of 10 digits and may be alphanumerical. The information entered here will appear in Account Confirmation Statements. It is NOT compulsory to provide this information – this field can also be left blank.

Introduction

Accounts Info menu lists the masters through which you can provide Tally the details of your company’s accounts.

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Go to Gateway of Tally > Accounts Info.

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More: Main functions in Masters menu

Configuring F12: Configure and Setting F11: Features

F12: Configure and F11: Features > Accounting Features help you to organize the information and the level of details as per requirement. You can modify/alter the settings in F12: Configure and F11: Features at any point of time.

F12: Configure
To set F12: Configure for Accounts and Inventory Masters Go to Gateway of Tally > F12: Configure > Accts/Inv Info. By default, Accounts/Inventory Masters settings are set to No. You can set the features that you may require to Yes. Typically, they are additional fields that appear during Masters creation which enable you to obtain more information and detailed analysis.

Refer Accts/Inv Info Configuration for more details.

F11: Features

There are various settings available under Accounting/Inventory/Statutory Features, which determine the information that needs to be entered in transaction entries. Refer Activate Company Features for more details

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Main Functions in Masters Menu

Accounts Information contains the masters. Each master has create, alter and display functions. Single Group option is useful when you wish to work on one Group at a time. Multiple Group option is very useful when you are working on many sub-groups at a time and saves a lot of time. Once a sub-group is created, it behaves exactly like a Group.

Create
The Create option is used to create new masters. Any modification to the masters can be done only through Alter mode.

Display
The Display option is used to view the Master information. Master information cannot be modified in Display mode.

Alter
The Alter option allows you to view and make the necessary changes to the master information. This does not allow creation of masters.

Introduction

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Tally follows the modern way of managing accounts called 'Single Ledger' concept of accounting. This is in direct contrast to Subsidiary Ledger Accounting. All financial entries are made using ledgers or account heads. Ledger accounts are created to identify transactions. The single ledger concept avoids the need for sub-ledgers and corresponding control accounts in General Ledger. Tally allows you to group ledger information to generate meaningful reports that are compliant with laws. Groups in Tally classify and identify account heads according to their nature. This helps in presenting summarized information. Gateway of Tally > Accounts Info. > Groups

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Classification of Account Heads
Usually, grouping of accounts is done only when reports are needed. This may result in delay in preparing the reports. Tally allows you set up chart of accounts. You can group the ledger accounts while creating them. This will enable your reports and statements to reflect the desired classification at any point. In Tally, you can also re-group the ledgers (with some minimal restrictions) if re-classification is necessary. Re-grouping becomes necessary whenever there is a change in the nature of information. However, re-grouping can be done only by users who have authorised rights. At the highest level of grouping, accounts are classified into capital or revenue — specifically into assets, liabilities, income and expenditure. Based on mercantile accounting principles, Tally provides a set of reserved groups and allows you to modify their names or create sub-groups.

Sub-Groups
A Sub-Group behaves exactly like a group and is created under a group.

Concept of Sub-Groups
Groups have a hierarchical structure. The main group of accounts that determine the entire accounting and their presentation are the asset, liability, income or the expenditure. These main groups ascertain whether a ledger affects Profit & Loss Account as a revenue item or if it affects the Balance Sheet. The Reserved Primary Groups and subgroups are: Primary Groups of Capital Nature 1. Capital Account a) Reserves and Surplus [Retained Earnings] 2. Current Assets a) Bank Accounts b) Cash-in hand c) Deposits (Asset) d) Loans & Advances (Asset) e) Stock-in-hand f) Sundry Debtors 3. Current Liabilities a) Duties and Taxes b) Provisions c) Sundry Creditors d) Fixed Assets 4. Investments 5. Loans (Liability) Bank OD Accounts [Bank OCC Accounts]

a) Secured Loans b) Unsecured Loans 6. Suspense Account 7. Miscellaneous Expenses (Asset) 8. Branch/Divisions 9. Sales Account 10. Purchase Account 11. Direct Income [Income Direct] 12. Indirect Income [Income Indirect]

13. Direct Expenses [Expenses Direct] 14. Indirect Expenses [Expenses Indirect] Note: More: A discussion on each of the reserved groups: Aliases for the groups are given in square brackets [ ].

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Common and possible errors in Grouping and account classification

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Common and Possible Errors in Grouping and Account Classification

Debtor/Creditor classification
Placing individual party accounts under Sales or Purchase Accounts groups Accounts of parties with whom your company is trading should be opened under any of the following groups (or sub-groups under them): Sundry Debtors Sundry Creditors Branch/Divisions

Sales and Purchase account groups are meant for revenue accounts and are reflected in the Profit & Loss Account. If you open party accounts under these groups, it becomes difficult to pass sales or purchase voucher transactions. For example, in a sales voucher transaction entry, you must debit an account, which can be sundry debtor, branch/division or even a sundry creditor. Moreover, other facilities like bill-wise allocation and tracking will not be available unless the accounts belong to one of these groups.

Opening two accounts of the same party
Tally classifies debtors, creditors and branch/divisions for convenience. This helps in the purpose of keeping the accounts of a particular group together during displays and analysis. Thus you can pass both sales and purchase entries for a party account placed under Sundry Debtors. Use the classification depending on the most natural group for the party. For example, parties from whom you buy more frequently then you sell them can be placed under Sundry Creditors, as that is the natural place to look for their account. Tally does not restrict the accounts from having obverse balances. Thus, a Sundry Debtor can have a credit balance depending on the state of his account. Therefore, you need not open two accounts for the same party - one under Sundry Debtors and another under Sundry Creditors. Tally restricts opening of two identical ledger accounts. In such cases, you may decide to circumvent by marking one account as "A & Co - S/Dr" and another "A & Co - S/Cr". This will allow you to have two accounts of the same party under two groups, but you will lose the advantage of analysing net position at one place. It is always better to maintain a single account to obtain best benefits. Expenditure items are entered under Liabilities group. For example, the expenditure item Rates & Taxes under the group Duties and Taxes. The group Duties and Taxes is specifically meant to handle taxation liabilities of your company. Rates & Taxes and other statutory expenses should be placed under Indirect Expenses. Simply adhering to the reserved groups may be sufficient for many organisations. For greater diversity, Tally allows you to create your own groups, either as sub-groups or primary groups. Groups can be sub-classified to practically an unlimited level, to give a virtual accounting tree. At the lowest level, of course, would be the ledger account. An example of sub-groups would help illustrate the power of this facility, the group Indirect Expenses can be subclassified under ledgers (given in italics) as shown below.

During voucher entry, only the ledger accounts are used and the group structure remains transparent, irrespective of the use of sub-classification. The same principle can be applied to Sundry Debtors, Sales Accounts, Purchase Accounts and so on. You can classify Debtors and Creditors according to geographical areas as shown below. You can classify creditors according to their tax status as shown below. You can simply create ledgers CHM TO PDF CONVERTER shown below. UNREGISTERED VERSION OFdirectly under Marketing Expenses as PRO BY THETA-SOFTWARE You can create unlimited levels of sub-groups (like branches) or ledgers only if they are two or more in number.

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Note: While it is necessary to assign every ledger to a group/sub-group, it is not essential to have your own sub-classification of accounts; you may simply use the reserved groups for grouping your ledger accounts.

A Discussion on Each of the Reserved Groups

1. Capital Account
This records the Capital and Reserves of the company. The ledgers that belong to Capital Accounts are Share Capital, Partners' Capital A/c, Proprietor's Capital Account and so on. Reserves and Surplus [Retained Earnings] This contains ledgers like Capital Reserve, General Reserve, Reserve for Depreciation and so on.

2. Current Assets
Current Assets record the assets that do not belong to either Bank Accounts or Cash-in-Hand sub-groups.

Bank Accounts
Current account, savings account, short term deposit accounts and so on.

Cash-in hand
Tally automatically creates Cash A/c in this group. You can open more than one cash account, if necessary. N o t e : An account under Cash-in-hand group or printed as separate Cash Book in the traditional part of the Ledger. Bank Cash Accounts/Bank Book format OCC A/c and does group is not form

Deposits (Asset)
Deposits contain Fixed Deposits, Security Deposits or any deposit made by the company (not received by the company, which is a liability).

Loans & Advances (Asset)
This records all loans given by the company and advances of a non-trading nature (example: advance against salaries) or even for purchase of Fixed Assets. We do not recommend you to open Advances to Suppliers’ account under this Group. For further details, please refer to the section on Common Errors.

Stock-in-hand
This group contains accounts like Raw Materials, Work-in-Progress and Finished Goods. The balance control depends on whether you have selected Integrated Account-cum-Inventory option while creating the company. (refer to Company creation section for more details) Let's consider the options:

Integrated Accounts-cum-Inventory
This option has a significant effect on the Balance Sheet and Profit & Loss Account. If set to Yes, it brings the stock/inventory balance figures from the inventory records and provides a drill down to the Stock registers from the Balance Sheet. You are not allowed to directly change the closing balance of an account under this group. You are allowed to pass

transactions in Inventory records and the account balances are automatically reflected in the Balance Sheet as Closing Stock.

Non-integrated Accounts-cum-Inventory
If Integrated Account-cum-Inventory option is set to No, it ignores the inventory books figures and picks up manually entered closing stock balances from the ledger account created. This provides the facility to maintain accounts separately and inventory separately. You are not allowed to pass CHM TO if your accounts that PRO BY this Group. It allows you UNREGISTERED VERSION OFtransactions PDF CONVERTERcome under THETA-SOFTWARE to hold opening and closing balances only. Since no vouchers can be passed for these accounts, they are the only accounts for which the closing balances can be directly altered (by an authorised user only).

Sundry Debtors

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3. Current Liabilities
Accounts like Outstanding Liabilities, Statutory Liabilities and other minor liabilities can be created directly under this group. Sub-groups under Current Liabilities are Duties and Taxes, Provisions and Sundry Creditors

For customer accounts refer to common and possible errors in grouping of accounts section.

Duties and Taxes
Duties and Taxes contain all tax accounts like VAT, MODVAT, Excise, Sales and other trade taxes and the total liability (or asset in case of advances paid) and the break-up of individual items.

Provisions
Accounts like Provision for Taxation, Provision for Depreciation and so on are recorded under Provisions.

Sundry Creditors
For trade creditors, refer to common and possible errors in grouping of accounts section.

4. Investments
Group your investment accounts like Investment in Shares, Bonds, Govt. securities, long term Bank deposit accounts and so on. This allows you to view the total investments made by the company.

5. Loans (Liability)
Loans that a company has borrowed, typically long-terms loans.

Bank OD Accounts [Bank OCC Accounts]
Tally provides you with distinct types of Bank Accounts,

Bank OCC A/c
To record the company's overdraft accounts with banks. For example, Bill Discounted A/cs and Hypothecation A/cs etc. Note: An account under Bank OCC A/c group is printed as separate Cash Book in the

traditional

Cash

Book

format

and

does

not

form

part

of

the

Ledger.

Secured Loans
Term loans or other long/medium term loans, which are obtained against security of some asset. Tally does not verify the existence of the security. Typical accounts are Debentures, Term Loans, and so on.

Unsecured Loans
Loans obtained without any security. Example: Loans from Directors/partners or outside parties.

6. Suspense Account
In modern accounting, many large corporations use Suspense Ledger to track the money paid or recovered, the nature of which is not yet known. The most common example is money paid for Traveling Advance whose details will be known only upon submission of the TA bill. Some companies may prefer to open such accounts under Suspense Account.

Loans and Advances (Asset) group.
The Suspense Account is a Balance Sheet item. Any expense account even if it has 'suspense' in its name, it should be opened under Revenue group like Indirect Expenses and not under Suspense Account group.

7. Miscellaneous Expenses (Asset)
This group is typically used for legal disclosure requirements such as Schedule VI of the Indian Companies Act. It should hold incorporation and pre-operative expenses. Companies would write off a permissible portion of the account every year. A balance remains to an extent that cannot be written off in Profit & Loss Account. Tally does not show loss, carried forward in the Profit & Loss Account, under this group. The Profit & Loss Account balance is displayed separately in the Balance Sheet.

8. Branch/Divisions
This maintains ledger accounts of all your company's branches, divisions, affiliates, sister concerns, subsidiaries and so on. Tally permits Sales and Purchase transactions to take place with accounts opened here. Remember, these are their accounts in your books and not their books of accounts. Just treat them as any other party account. If you wish to maintain the books of a branch/division on your computer, you must open a separate company. (Tally allows maintenance of multiple company accounts).

Revenue — Primary Groups
9. Sales Account
You can classify your sales accounts based on Tax slabs or type of sales. This also becomes a simple mechanism for preparation of Tax returns. Examples: Domestic Sales Export Sales

Now under Domestic Sales open the following ledgers:

Sales (10%) Sales (5%) Sales (exempt)

UNREGISTERED VERSION OF directlyTO PDF CONVERTER PRO BY THETA-SOFTWARE returns (or the returns may be CHM passed through Journal against the specific Sales account).
N o t e : Do not open common and possible customer accounts under errors in grouping of this group. For more accounts section. details, refer

You can even open an account as Sales Returns under the group Domestic Sales to view your net sales after

to

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This is similar to sales accounts, except for the type of transactions.

10. Purchase Account

11. Direct Income [Income Direct]
These are Non-trade income accounts that affect Gross Profit. All trade income accounts fall under Sales Accounts. You may also use this group for accounts like Servicing, Contract Charges that follow sales of equipment. For a professional services company, you may not use Sales Account group at all. Instead, open accounts like Professional Fees under this group.

12. Indirect Income [Income Indirect]
These are miscellaneous non-sale income accounts. Example: Rent Received and Interest Received.

13. Direct Expenses [Expenses Direct]
These are Manufacturing or direct trading expenses. These accounts determine the Gross Profit of the company.

14. Indirect Expenses [Expenses Indirect]
All administrative, selling or non-direct expenses. Profit & Loss Account is a reserved primary account in Tally. You can use this account to pass adjustment entries through journal vouchers. For example, transfer of profit or loss account to Capital or Reserve account.

Creating a Group

Go to Gateway of Tally > Accounts Info. > Groups > Create (under Single Group) The Group Creation screen displays

Name of Group
Enter the name of the Group to be created. For example, Administrative Expenses.

Alias
Enter an alias name to allow access to the group using the Alias in addition to its name or leave it blank. For example, for Administrative expenses, you can enter Office Expense or even an alphanumeric code, say E001, as an alias

Under
Specify under which existing (Parent) group the sub-classification is required. If it is a new primary group, select Primary (requirement of a new primary group is very rare, but the option exists). You can also create a new Parent Group by using Alt+C. N o t e : Creation of new P r i m a r y Group is not M a s t e r s is set to N o in F12: Configure. allowed if Allow Advanced entries in

Additional Information
If a group (e.g Printing) is created under Primary, you must select the appropriate option from the list whether it is an asset, liability, income or expenses. If you select an income or expenses you should specify whether it will affect the gross profits or not by suitably setting the option Does it affect Gross Profits? to Yes/No.

You can use this concept when you wish to segregate your profits into Operative Profit and Net Profit. This helps you when you want to consider other revenue accounts in addition to Direct instead of Gross and Net Profit). Normally, Tally calculates Gross Profit using Opening Stock, Purchase Accounts, Direct Expenses, Sales Accounts, Direct Incomes and Closing Stock only. To make other accounts contribute to this, without classifying under these reserved heads, set this option to Yes.

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Group behaves like sub-ledger?
This option is applicable to Sundry Debtors group, you can set this to Yes to display Sundry Debtors without Ledger break-up in statements. Normally, Sundry Debtors will have a large number of ledger accounts under it and it can be expanded during display to show ledger balances. To disable this detailed display set this option to No.

Nett Debit/Credit Balances for Reporting?
Setting this option to Yes will display either the net debit or credit balance in the report (whichever is higher). If this is set to No, both debit and credit balances will displayed in the report.

Used for Calculation (e.g. taxes, discounts)?
Set this option to Yes if ledgers under this group would have percentages for discounts/taxes to be used for invoice entry. This gets reflected while passing voucher entry in Invoice mode, it uses the automatic calculation capability.

Method to allocate when used in purchase invoice
Select the appropriate allocation method from the list. This is used to allocate the expense of the Item in the ratio of the quantity or value.

Buttons in single group screens F3: Company

This button helps you to open a different company. In the creation mode, you can create groups in the other company. In alter mode, you can copy the information by accepting the screen (enter or Ctrl+A). The old company's information remains. This feature is not available in Display mode.

Groups, Ledgers, Cost Categories, Cost Centres, Voucher Types, Currency, Budgets
This button enables you to switch to the appropriate area without quitting from the current screen.

F11: Features
This allows you to set or modify the company features.

F12: Configure
This enables you to set or modify configuration of the master screen. Note: only Configuration the current changes company. affect all companies and changes made in Features affect

Creating Multiple Groups

In multiple group creation, the sub-groups will automatically inherit the characteristics of their parent groups.

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Go to Gateway of Tally > Accounts Info. > Groups > Create (under Multiple Groups)

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Select the parent group under which you want the new groups to be created from the List of Groups . The group selected is displayed in the Under Group field.

Name of Group
Enter the name of the Group.

Under
If you select any group other than All Items in the Under Group field, then this column is filled in automatically with the selected Group name and the cursor skips this column. This speeds up data entry. If you select All Items in the Under Group field, the cursor does not skip this field and allows you to enter the parent group of each of them. Note: To group/alter' change individual option. group behaviour created using multiple groups, use 'single

Buttons in Multiple mode Group creation F3: Company
This button helps you to open a different company. In the creation mode, you can create groups in the other company. In alter mode, you can copy the information by accepting the screen (enter or Ctrl+A ). The old company's information remains. This feature is not available in Display mode.

Groups, Ledgers, Cost Categories, Cost Centres, Voucher Types, Currency, Budgets:
This button enables you to switch to the appropriate area without quitting from the current screen.

F4: Change Parent
To change parent of the selected group, select the group from Names of Groups list. For example, you are currently altering groups classified under Loans Liability and wish them all to be re-classified

under 'Bank OCC A/c'. Instead of altering individual name, you can achieve this using F4:Chg Parent.

F4: Parent
This allows you to quit from the current screen and modify a different group (relevant in Alteration/Display mode only). For example, you are currently altering groups classified under Loans Liability and now wish to ABANDON the current activity and alter groups under Bank OCC instead

F6: Skip Names/Edit Names
It is used for faster data entry when you need to alter only the Group and the Parent Group, but not the names. When you skip names, you might change the Group or the Parent Group to one, which belongs to another Group. Since this violates categorization rules, Tally displays an error message after you accept the screen.

F7: Skip Parent/Edit Parent
This button is used for faster data entry when there is no need to alter the parent of sub-groups.

F10: Edit Sort/Skip Sort
You can use this button to toggle for altering the Sort Position

F11: Features
This enables you to change any company features.

Creating a Group - Advanced Usage

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N o t e : Use F12: Configure and F11: Feature entire setup according to your preferences. to add/remove fields and configure

This section assumes that you have configured all advanced features of the Accounts Master in F12: Configure and enabled advanced F11: Features . It deals with the additional fields that you would require while creating a Group. the

Go to Gateway of Tally > Accounts Info. > Group > Alter (under Single Group)

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Position index in reports
Position index is the primary key for sorting groups and ledgers for reports; the group name being the secondary key. It determines the position of the group in relation to other groups in a report. It is the default sorting method in most reports. At the time of its creation, a group is automatically assigned the position of its parent (or 500 if it is a new primary group) and hence there is no need to give the index field while creating a group. All reports are sorted according to the position index in increasing order. This may not be in alphabetic order. The positions have been ascribed for the Balance Sheet and Profit & Loss Account, which is based roughly on the liquidity concept and company law. These indices may be changed to effect a shift in the location of an account, as illustrated in the following example. IF a same index number can be assigned to more than one group, they will appear one after another in alphabetic order (sorted on the secondary key). Create a Group My Own Group under Primary as an Asset. By default, index will be 500. Using single alteration of the group My Own Group the index can be verified.

Create a ledger account My Own Ledger under this group with opening balance of 10,000. The group's position in the Balance Sheet would be thus:

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Now, alter the Position Index (sort position) of the group "My Own Group" to 45. (You may do this quickly by positioning the cursor on 'My Own Group' and pressing Ctrl+Enter). The Balance Sheet gets rearranged and you can decide the position of an item in your reports.

Though position indices can be altered, it is not advisable to do this without being absolutely sure of its effect. Please remember that the change affects all reports. If you do not want the changed index, you may revert to the default settings through group alteration. N o t e : Press F12: change the sorting Configure and select method while viewing the appropriate the report. sorting method from the list to

Displaying and Altering Group

You can display and alter the Groups in Single mode or Multiple mode.

Displaying a Single Group UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Go to Gateway of Tally > Accounts Info. > Group > Display (under Single Group) Select the name of the Group from the List of Items. You cannot make any changes in Display mode.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Altering a Single Group
Go to Gateway of Tally > Accounts Info. > Group > Alter (under Single Group) Select the Group that you wish to alter from the List of Groups. Make the necessary changes and click Yes to save the changes.

Displaying Multiple Groups
Go to Gateway of Tally > Accounts Info > Group > Display (under Multiple Group) Select the Group from the List of Groups to display all the Groups under the selected Group or select All Items to display all Groups. The Multi Group Display screen lists Groups and the corresponding details of the Groups.

Altering Multiple Group
Go to Gateway of Tally > Accounts Info. > Group > Alter (under Multi Group) Select the Group for which you want to alter from the List of Groups. In Multi Group Alteration screen, make the necessary changes and click Yes to save changes.

Deleting a Group
Gateway of Tally > Accounts Info > Groups > Single/Alter The Delete function is performed through the single alteration mode. You cannot delete groups from the Multiple Alteration mode. 1. 2. Select the group to be deleted. Press Alt+D to delete.

Note: ledgers

You cannot in it.

delete

a

group

if

it

is

a

reserved

group

or

a

group

has

sub-groups

or

Note: A new group created under primary masters/transactions for that group

will

not

reflect

in

reports

until

you

pass

Managing Groups in multiple companies

Copy masters from one company to another

UNREGISTERED VERSION same for most group companies and it is certainly THETA-SOFTWARE Master information is the OF CHM TO PDF CONVERTER PRO BY beneficial to maintain same

group structure and ledgers. This becomes necessary if you have a parent company with subsidiaries or branches. This ensures uniformity of reports in all companies and proper consolidation of accounts. To avoid the tedious task of re-creating masters in other companies, Tally enables you to copy the groups created in one company to another. The companies must be selected to allow switching of companies.

UNREGISTERED Tally > Select Company A PDF CONVERTER PRO BY THETA-SOFTWARE Gateway of VERSION OF CHM TO
Gateway of Tally > Select Company B

Copy a single group from one company to another
First select the source company F1. Gateway of Tally > Select Company A Gateway of Tally > Accounts Info. > Groups > Single Group > Alter Select a particular group, for example select Southern Debtors created under Sundry Debtors F3: Change to destination company (Company B) > Accept the screen, after making alterations, if any. If the parent of the group does not exist, you will not be able to accept the screen without selecting a parent in the destination company. Once you accept the screen, you are returned to the source company list of groups. The same group now exists in the destination company also.

Copy multiple groups from one company to another
1. 2. Click on F1: Select Company to select the source company (Company A) Gateway of Tally > Accounts Info > Groups > Multiple Groups or All Items from the list > Alter > Select a particular Group

3.

Click on F3: Company button or press F3 key to change to the current company i.e switch over to the destination company > Accept the screen, after making additions/alterations, if any. Once you accept the screen, you are returned to the source company List of Groups. The same group now exists in the destination company. The above method of copying masters is possible only if the books of accounts are maintained on the same computer.

4.

The above methods can be used for copying other masters like ledgers, cost categories and cost centres. Note: The alternate mechanism to transfer information between the Export of Data and Import of Data. Export/import is more companies is to flexible where use

export/import allows incoming information from companies, system. For example, you can export your Masters and branches for their initial master creation.

which do not exist on send the resultant files to

your your

Introduction

A Ledger is the actual account head to which you identify a transaction. In Tally, you pass all accounting vouchers using Ledgers. However, all Ledgers have to be classified into Groups. Hence a thorough understanding of account classification is important for working with Ledgers. The creation and usage of Groups in Tally has been explained earlier. Now VERSION OF CHM TO with Ledgers. UNREGISTERED you will learn how Tally works PDF CONVERTER PRO BY THETA-SOFTWARE Go to Gateway of Tally > Accounts Info. > Ledgers

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Creating a Ledger

Ledgers can be created in single and multiple modes. In multiple mode you can create multiple ledgers at a time.

Creating a Single Ledger
The creation of Ledger depends on the features you opt for in the F11: Features of your company and F12: Configure. It is advisable to set F11: Features and configure the F12: Configure screen before creating any Ledgers. You may configure or set your Ledgers to enable or disable advanced mode. Click here for details on Creating Ledgers in Advanced Mode. Tally automatically creates two Ledger accounts namely, Cash (Under Cash-in- Hand) and Profit and Loss Account (direct Primary Account). You need to create all other accounts heads. There are no restrictions in Ledger creation except that you cannot create another Profit & Loss A/c . Any number of Cash Accounts may be created in any other name like Petty Cash. Creating a Ledger Account with minimal information: Go to Gateway of Tally> Accounts Info. > Ledgers> Create (under Single Ledger)

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Name
Enter the Name of the account. You can provide the full name of the account. Tally fits it all in. Press Enter to move to the next field. Tally does not allow entry of duplicate names. The uniqueness check is made here itself. Note that punctuation and other non-relevant information are ignored by Tally in its recognition of a name. Thus, CST, C.S.T. and C. S. T. are all considered as same. Tally converts the first letter of all relevant words to upper case, which helps you; speed up data entry. You need not bother about changing the case every time it is a different word.

Alias
Enter an alias name if required. You can access the Ledgers using the original name or the alias name.

Under
All accounts must be classified under their appropriate Groups. Select the Group under which the Ledger is created from the List of Groups. To create a new Group from this field press [ATL + C]

A Group is not important by itself, but because it controls the usage of Ledger accounts. A wrong classification would affect the treatment of the Ledger account in final statements and during voucher entry. You can, alter a Ledger account to change its group classification at any time. Refer in Grouping and account classification for more details in Grouping. Common and possible errors

Opening Balance
If yours is an existing company whose books you are entering onto Tally, Opening Balance would be applicable in circumstances such as when the Ledger is an asset or a liability and if it has a balance in the account as on the date of beginning of books in Tally. Tally recognises normal accounting principles of debit balances for Assets and credit balances for Liabilities. It accepts the reverse for obverse balances. Revenue accounts normally do not have balances. Tally, however, permits you to give balances even for such accounts - You may be transferring your books on to Tally in the middle of the year and may not have closed them in your earlier system. Hence, you may specify whether the balance is Debit or Credit. Simply D or C also would suffice. N o t e: Use Ctrl be changed. More: Common and possible errors in Grouping and account classification Groups - a revisit +A at the field following which the information in other fields do not need to

Creating Multiple Ledgers

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Go to Gateway of Tally> Accounts Info > Ledgers > Create (under Multiple Ledgers)

You can create multiple Ledgers at a time in this mode. You can first create a Ledger under each group in single Ledger mode and then the rest of the Ledgers in multiple mode. Tally will set the settings of the Ledger created as default for other Ledger to be created in multiple mode.

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The Multiple Ledger Creation screen is displayed. A brief description on each of the fields in the Multiple Ledger Creation screen follows:

Under Group
Select the name of the group under which you want to create the Ledgers from the List of Groups . Below this field, the other fields are arranged in a table. The cursor rests at the field Name of Ledger . The other fields in the column are:

S.No
This is auto generated.

Name of Ledger
Enter the name of the Ledger.

Under
This field defaults to the parent group selected in Under Group . The selected group in Under Group gets displayed here automatically and the cursor skips this column. However, if you select All Items in Under Group field, the cursor does not skip this column and you have the option to select the group. You can even create a new group from this field by pressing Alt +C .

Opening Balance
This is the balance remaining when you first enter your books on Tally, i.e., the date of beginning of books. If you have opted to maintain balances bill-by-bill, you must give the bill details. (Refer Creating a Ledger- Advanced

Usage for more details on this)

Dr
Specify whether the Opening Balance is Debit or Credit . Tally follows the normal accounting principals of accounting. (Refer Creating a Ledger - Advanced Usage for more details on this). N o t e : While creating Ledgers in multiple mode, the field Cost Centres are applicable, is set to Y e s for Revenue accounts and N o for Non-Revenue accounts by default. The field Inventory values are affected is set to Y e s for Sales and Purchase Accounts and N o for the o t h e r s by default.

Creating a Ledger - Advanced Usage

The information required for creating Ledgers depends on the features opted by you in the F11: Features and F12: Configure . The Ledger Creation screen will have additional fields depending on your feature settings for your company. If you set the field Allow ADVANCED entries in Masters in F12: Configure as Yes , you can UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE work in Advanced Mode. Set the company features in F11: Features> F1: Accounts as shown in the screen below to enable advanced features.

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After configuring F12: Configure and enabling F11: Features as described in the above sections, the Ledger Creation screen will appear with the following additional fields.

An explanation on each of the additional field follows. For explanation on the default fields refer Creating a Single Ledger

Currency of Ledger
Tally allows you to maintain Ledgers in any currency and the amount will reflect in the selected currency. But it is strongly advisable that you maintain the currency of the Ledger as the Base currency. Only foreign currency bank accounts are maintained in foreign currency and other ledgers are maintained in Base Currency. Nevertheless you can enter transactions in any other currency. To create/maintain ledgers in multiple currency, set Allow Multi Currencies to Yes in F11: Features. You can always create a new currency from this field by pressing Alt+C For more information on Currencies, refer Currency N o t e : The Advanced currency. The relevant Information is applicable ONLY if the options should be enabled in the ledger is maintained company features. in base

Maintain Balances Bill-by-Bill
Set this option to Yes , if you wish to give a Bill-by-Bill break-up of the Ledger balance for Sundry Debtors and Sundry Creditors group including the opening balance. You may allot any number of bills. The option here would also determine the ability to track transactions according to Bill references. The Bill-by-Bill concept in transactions would be discussed in detail in the Vouchers chapter. If you set this option to Yes , while entering the opening balance in the Opening Balance field at the end of Ledger Creation screen and pressing Enter , the Bill-wise Breakup screen of the Ledger created is displayed.

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

A brief explanation on each of the fields in the Bill-wise breakup screen follows: The following information for all pending bills of the previous accounting period would be required.

Date
Since you are giving the break-up of the Opening Balance, the date of the bill would naturally be prior to the accounting period. Tally defaults to the last date of your previous accounting period, e.g., 31 March 2006. Change it, if necessary, to the actual date. To end your list of entries, leave the Date or Name blank.

Name
Enter a Name to which you can later refer when adjusting the bill. Typically, you can enter the Bill number or Document number. The purpose of the break-up is to enable you to adjust it later when the relevant transaction is squared off.

Due date (or credit days)
For the Ledgers under Sundry Debtors and Creditors, give the credit period or the date when the bill is due. Tally automatically calculates the other.

N o t e : During transaction entry, there would opt for "using effective dates" instead of "bill accordingly.

be another dates" the

concept-that of effective date. If due date would be calculated

you

Amount
For the amount of the bill due, you will give particulars of all the pending bills one by one. Tally fills in the difference between your Opening Balance, and the sum of the Bills, and reflects it as On Account at the bottom of the screen. If all your bills cover the Opening Balance , the On Account becomes NIL. You may have Bills totaling beyond the Opening Balance , in which case the On Account will accumulate adversely. In the screen given below, we have shown two bills 50,000, 25,000. Now, if the balance brought forward is 1,00,000/- , the On Account amount will reflect 25,000/-. If you obtain the bill particulars at a later date, you can always alter the ledger to put in the details, which will nullify the On Account .

Inventory values affected
This is applicable only if your accounts are integrated with inventory. Accounts like sales and purchases would normally affect inventory values in which case set Inventory values affected to Yes . For other accounts, set it to No . Tally does not restrict you to particular accounts as you may have the need to affect inventory with accounts like Customs Duty, and perhaps, direct expenses related to purchases such as Freight Inwards.

Cost Centres are applicable
Tally's concept of Cost Centres allows an additional dimension to a transaction. This field is displayed in the Ledger Creation screen only if you have enabled Cost-Centres in F11 > Accounting Features . Set this field to Yes in Ledger creation screen to enable Cost centres. Tally will presume that you want Cost Centers for Revenue Accounts and not for non-revenue accounts like Assets and Liabilities.

Activate Interest calculation
Set this option to Yes to enable Tally to calculate interest automatically based on the interest rate and style of calculation specified. Use advanced parameters The advanced parameters are particularly useful where interest rates change from time to time. Set this option to Yes to enable this.

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Statutory Information

This option is available only if you have enabled at least one the options in F11: Features> F3: Statutory & Taxation . Based on the options enabled in F3: Statutory & Taxation , the respective fields will appear in the Statutory Information section.

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Mailing Details
Mailing Details is applicable only for party accounts like Sundry Debtors , Creditors and Branch Divisions . This is also available for loan accounts. Enter the party's particulars here. These are used in mailing outputs like statement of accounts.

Tax Information
The Tax Information consists of the default fields PAN/IT No. and the TIN/SALES Tax No. Based on the features you enable in F11: Features> F3: Statutory & Taxation , additional fields will appear under Taxation.

Percentage of Calculation
This field is applicable only for Ledgers created under the Group Duties and Taxes , or for Ledgers created under any Group for which Used for Calculation is enabled in Group Creation screen. The Group Duties and Taxes is used for automatic tax calculation. . You need to specify the rate of tax e.g. 5, 10, 12.5 etc. as a percentage. Do not give the percent symbol. You may use an automatic Discount calculation facility by specifying a negative percentage in this field. On entering a percentage, a new field Method of Calculation is displayed.

Method of Calculation

There are four methods of calculating a duty. 1. 2. 3. 4. Duty Based on Items – Tax based on Item Rate Additional Duty On Total Sales Surcharge on Tax

Tax or Duty Based on Items Rate (or Excise Duty)
This type of account is suitable in cases where there are differential rates of duty/tax on items. In India, excise duty accounts would normally adopt this method. In the UK, VAT accounts would do likewise. When creating your Inventory item masters, you might specify Rate of Duty for each item. In your account books, you would open a ledger for the duty, possibly by the name VAT 17.5% or Excise Duty 12.5%. You will select this method to instruct Tally to pick up the Rate of Duty specified in your Inventory item master during invoice entry. If one or more items exist with the same rate of duty, then the amount is calculated using the total. Otherwise, it is calculated on total sales. For example, Your invoice lists: Item A (Rate 10%) for 10000/Item B (Rate 12%) for 15000/Item C (Rate 10%) for 18000/Duty (VAT or Excise) will be calculated as follows:

10% on 28000/12% on 15000/Total Duty Additional Duty

2800/- (Item A & C) 1800/- (Item B) 4600/-

When excise duty is not enabled for invoicing purposes in Company Features [F11] (as applicable for many products in India), Additional Duty and Surcharge function alike. In case it is enabled, then Additional Duty is added to the 'Duty Based on Items' in the invoice to reflect the 'Total Duty payable'. Its method of calculation is explained under 'Surcharge'.

On Total Sales
As the type suggests, duty will be calculated on the total of individual values of the items. It does not consider the Rate of Duty specified for each item in your inventory masters. It does not calculate duty on the current sub-total unless you have specifically opted for it in the company features. Hence, the two scenarios could be as follows:

When you have not opted for calculation on current sub-total:
Assuming that there are two items in the invoice: Item A 10000/Item B 15000/Tax 2% will be calculated at UNREGISTERED VERSION OF 2% on TO PDF CONVERTER PRO BY THETA-SOFTWARE CHM total sales of 25000/- = 500/- tax amount following which you current sub-total of 25500/-. obtain a

If you now add another line, Tax 4%, it will calculate 4% also on 25000/- (on total sales) giving another 1000/- as tax.

If you opt for calculating on current sub-total:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
The above Tax 4% will be calculated on 25500/- (25000+500) giving 1020/- .

Surcharge on Tax
Surcharge and Additional Duty are charged on the immediately preceding entry. A surcharge is treated as a percentage of the duty levied. Tally expects the preceding line in the invoice to be the duty on which surcharge is to be calculated. Hence, in the above example if you have added a line Surcharge 10% it will appear as:

Item A Item B Tax 2% Surcharge 10%
If your invoice is as below:

10000/15000/25000/500/50/- (10% of 500)

Item A Item B Tax 2% Surcharge 10% Addl.Surcharge8%

10000/15000/25000/500/50/- (10% of 500) 4/- (8% of 50)

During invoice creation, this figure is used to calculate tax amount based on the method of calculation as well as specified in invoicing configuration. ( [F12] configure > Invoice Entry > Calculate tax on current sub-total?). Though invoicing has been discussed separately in greater detail, we shall touch upon relevant aspects here.

Calculate tax on current sub-total: (Yes/No)
Tax here refers to VAT or sales tax. During voucher entry in Invoicing mode, you may enter additional ledger accounts after giving the list of items in the invoice. Typically, the ledgers would pertain to duties, taxes, delivery charges, other charges and discounts. Sales Tax may be calculated on the total of item values, viz., Inventory sub-total, or you may specify it to calculate on the immediately preceding sub-total. In the latter case, the immediately preceding sub-total could include any entry that you may have passed, e.g. Delivery Charges. Tally

does not make any presumptions and would not verify its appropriateness or otherwise. Normally, you would not answer Yes to this option. The facility of Surcharge being available, the need to calculate on current sub-total is fulfilled by it. Hence, use it sparingly, maybe only when you have both Excise Duty and Sales Tax (on Excise Duty) applicable on an item.

Display or Alter a Ledger Account

Information in display and alter is the same, hence only alter is discussed. Display option does not permit any modification. Alter option is accessible only to authorised users. Gateway of VERSION OF Info. TO PDF > Single Alter > select ledger UNREGISTERED Tally > AccountsCHM > Ledgers CONVERTER PRO BY THETA-SOFTWARE

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You are allowed to alter any information of the ledger master with the exception of the Closing Balance of a ledger account, if any, other than closing balance of accounts under the group 'Stock-in-hand'. Please refer to Advanced Usage for specifying closing stock values.

Deleting a ledger account
You can delete a ledger from the alteration mode by pressing <Alt>+<D>. Tally does not allow deletion of

accounts that have transactions. Therefore, should you wish to delete an account, which has transactions, you must first delete all its voucher entries.

Interest Calculations

Tally allows you to obtain reports on interest calculated by Tally based on the instructions you furnish. Interest figures are typically desired in the following situations:

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1. 2. On outstanding balance amounts On outstanding bills/invoices/transactions (Receivable and payable)

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Activate Interest Calculations
Interest is a legitimate return on money invested and chargeable in the business world on loans and also on delayed payments. Interest can be calculated on the basis of Simple or Compound Interest. Tally allows you to obtain reports on interest calculated based on the instructions you furnish. Interest figures are typically desired in the following situations: On Outstanding Balance amounts. Outstanding Bills /Invoices/Transactions (Receivables and Payables)

Tally gives you an exhaustive capability to obtain interest implications on both.

The Activate Interest Calculation field is displayed in the Ledger Creation screen only if Activate Interest Calculations is set to Yes in F11: Features. Set this field to Yes for each specific ledger account for which interest is to be calculated. More: Simple Mode - where advanced parameters are not applicable Advanced Mode Interest Calculation Reports Interest calculation on Ledger Balances (e.g. Loans) Statement of Interest due on invoices Group Interest Calculation

Simple Mode (Where advanced parameters are not applicable)

To calculate Interest in the Simple Mode: 1. Go to Gateway of Tally> F11: Features > Set Activate Interest Calculation to Yes. > Set Use Advanced Parameters to No. In the Ledger Creation screen set Activate Interest Calculation to Yes. The Interest Parameters sub screen is displayed. Enter the Rate and select the interest style from the list.

2. 3.

Interest calculations on outstanding balances
Enter Interest details in Vouchers (only in case of transaction by transaction/Bill-by-bill). View Interest reports. You will have to alter existing ledger accounts to permit interest calculations on them. The same operation will apply when creating a new ledger account. Interest calculation on outstanding balances is allowed for any ledger account. You simply specify the interest rate and style of calculation. Nothing is required to be done for interest during voucher entry. Let's take an example: Interest calculated on Outstanding Balances. 1. 2. 3. Go to Gateway of Tally> Accounts Info.> Ledgers> Alter (Single)> Bank Ltd (bank account) Set Activate interest Calculation to Yes. On activation, the Interest Parameters must be set. It is the basis on which interest will be calculated for this Ledger account. Rate: This is the rate at which the interest has to be calculated. In this case, specify 15%. Interest Style: It is the basis on which the rate is applied. Of the four options, select 365-Day Year. Accept the screen.

4. 5. 6.

You can now view the amount of interest that could be charged by the Bank.

Report on Interest Calculated on outstanding balances
The Interest Calculations Report can be displayed and printed. Go to Gateway of Tally> Display> Statements of Accounts> Interest Calculations> Ledger> Bank Account

Interest calculation transaction by transaction

Activate and specify interest calculations in ledger masters. Transaction by transaction or Bill-by-Bill interest calculation is permitted for 'Party' accounts like accounts falling under the groups Sundry Debtors and Sundry Creditors. For example: 1. 2. Alter a Customer account (under the group Sundry Debtors or one of its sub-groups). Set Activate Interest Calculation to Yes. In the Interest Parameters now you have three lines to answer. Set Calculate Interest Transaction-by-transaction to Yes. Set Over-ride Parameters for each transaction to No.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
3. 4.

UNREGISTERED VERSION allowed to change interest parameters inPRO BY THETA-SOFTWARE If set to No, you are not OF CHM TO PDF CONVERTER voucher/invoice entry. If set to Yes,
change the interest parameters during entry.

you can

Report on Interest Calculated on outstanding transactions/bills
To view the Interest calculated Go to Gateway of Tally> Display> Statements of Accounts> Interest Calculations> Ledger> CP Ltd The report is similar to the Bill-wise Outstanding Statement. The last column gives the interest amount on the transaction. Select the line to be viewed in detail for its calculations.

Advanced Mode

The advanced parameters are particularly useful where interest rates change from time to time. 1. Go to Gateway of Tally> F11: Features > Accounting Features > Set Activate Interest Calculation to Yes. > Set Use Advanced Parameters to Yes. The Interest Parameters sub-screen is displayed For Ledgers created under the Group Sundry Debtors/Sundry Creditors, the Interest Parameters subscreen is displayed as shown below:

2.

3.

Set Calculate Interest Transaction-by-Transaction to Yes , if you want to calculate interest for each transaction. Set Override Parameters for each Transaction to Yes , if you want to override the interest rates and parameters set here during voucher entry. Enter the interest rate in the Rate field. Select the interest rate calculation period from the Interest Style list in the Per field. Select the choice of balances for which the interest has to be calculated from the Interest Balances list in the On field. The balances are All Balances, Credit Balances only and Debit balances only. Interest can be calculated on all outstanding balances, whether debit or credit. You would like to select only credit balances in case of accounts like Bank accounts, if you want to know the interest that the bank might charge on overdrawn balances.

4.

5. 6. 7.

8.

8.

Select the rounding method applicable from the Rounding Methods list. The amount can be rounded off normally or upward or downward. If you do not want any rounding method, select Not Applicable .

For Ledgers created under the Group Bank Accounts , or if the option Calculate Interest Transaction by Transaction is set to No , then the Interest Parameters sub-screen is displayed as shown below.

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

1. 2. 3.

Enter the interest rate in the Rate field. Select the interest rate calculation period from the Interest Style list in the Per field. Select the choice of balances for which the interest has to be calculated from the Interest Balances list in the On field. The balances are All Balances, Credit Balances only and Debit balances only. Interest can be calculated on all outstanding balances, whether debit or credit. You would like to select only credit balances in case of accounts like Bank accounts, if you want to know the interest that the bank might charge on overdrawn balances. Specify the interest rate applicable period from the Applicable From: and To: fields. Select the rounding method applicable from the Rounding Methods list. The amount can be rounded off normally or upward or downward. If you do not want any rounding method, select Not Applicable .

4. 5.

Display Report – Interest on Outstanding Balances
To view the report on Outstanding balances: Go to Gateway of Tally> Display> Statements of Accounts.> Interest Calculations> Ledgers> Bank Ltd.

Advanced Parameters - Interest calculation transaction by transaction
A ctivate and specify interest calculations in ledger masters. The following extra options now become available: 1. 2. You can now have Multiple Rates of Interest . You can Override Advanced Parameters during voucher entry. Hence, each entry could have different parameters. Choice of Balances – All Balances , Credit Balances only, Debit Balances only. Applicability - This actually applies to the viewing of the statement and not the levy of interest. Calculate from - You can decide whether interest is to be levied from the Due Date or from the Effective Date of the transaction (or the voucher date if effective date is not activated) or even Date ranges specified during Voucher Entry.

3. 4. 5.

6.

5.

6.

Choice of methods for Rounding off of interest amounts .

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Note: * To obtain the option 'Calculate from Date Specified during Entry', you must have Override advanced parameters set to Yes. The option is required if you want to specify interest to be calculated at different rates for different periods. * If you choose to override parameters then information would be asked during voucher/invoice entry. The interest information is required after the bill-wise details have been entered.

Report on Interest Calculated on outstanding transactions/bills
Go to Gateway of Tally> Display> Statements of Accounts> Interest Calculations> Ledger> CP Ltd Press the button F1: Detailed on the Button bar to see the calculation and the period. Previous transactions are calculated from Effective date of Transaction as default. Date Specified during Entry has not been used. N o t e : Part balance. monies received have been accounted for and interest calculated on the

A look at Calculate From Dates Specified during Voucher Entry
You have set up the Interest Parameters for CP Ltd to calculate on Dates specified during Voucher Entry. We will take one invoice and put in the interest information.

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Display> Statements of Accounts> Interest Calculations> Ledger> CP Ltd

Book Entries and adjustment of interest
We have seen the reports on interest amounts calculated in different ways but these have not been brought into books! They simply give you the interest implications. You must book them now.

How to enter the calculated interest amounts?
Use Debit Notes and Credit Notes with Voucher Classes
Use Debit notes for Interest receivable and Credit Notes for Interest Payable . Interest is calculated on Simple or Compound basis and separate classes should be used for them.

Set-up Debit/Credit Note Classes for interest entries
Set up Debit Notes . Credit Notes will behave the same way. Go to Gateway of Tally> Accounts Info.> Voucher Types> Create/Alter 1. 2.

1. 2. 3. 4.

Alter the Voucher Type Debit Note. Tab down to the field Class . Type the name of the Class . Type Simple Interest .

Likewise, create a Class – Compound Interest and set Yes to Amounts to be treated as Compound Interest . Accept the Voucher Type and return to the Gateway of Tally . Create a ledger account Interest Received under Group Indirect Income.

Voucher Entry for booking Interest
1. 2. 3. 4. Go to Gateway of Tally> Accounting Voucher> Voucher Entry Select F7:Journal > Debit Note A Cost Centre Class is also selected if required. Marketing Expenses Class has been selected here. There are two situations for interest adjustment:-

Billwise interest Simple Interest – Interest amounts are not debited onto the same bills. Create a fresh reference for it. Compound Interest – Amounts are auto-debited to the selected bills. Bill-wise details will not appear in this case.

5.

Interest on balances only

Bill-wise interest entry
Debit CP Ltd Credit Interest Received When you debit the party account, a list of bills for which interest is applicable pops up. Select the bills to adjust. Note that even cleared bills appear.

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Select the respective interest bills from the list . The debit amount is filled up with the total. Select New Ref in the bill-wise allocation. In the interest sub-screen, ensure that the rate of interest is 0. Now Credit Interest Received. The amount is already filled in. Your voucher will resemble the one below:

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Entries for compound interest are exactly the same as for Simple Interest where all you do is select the Voucher Class Compound Interest. Also the Bill-wise details popup sub-screen does not come up as the amounts are added onto the bills. Select Demo from the list and complete a Debit Note.

Now display Outstandings for CP Ltd Note the contents:

The Bill references Demo/28/01 and Demo/31/01 are invoices onto which interest has been compounded. A new Reference no 2 has been created for Simple Interest due from CP Ltd.

Entries for Interest on Balances only
Again, the issues are Simple and Compound Interest

Compound Interest
Make the following entries in a Debit note with Compound Interest Voucher Class Debit Bank Ltd the amount is automatically filled up with the calculated interest Credit Interest Received And nothing needs to be done! The Bank Account has been increased by the amount of interest due and the Income account of Interest Received also credited.

Simple Interest
Make the same entry as above. However, since it has the effect of increasing the Bank Ltd account with the amount due (compound effect), you must make a journal entry to reverse it. The reversal entry would be something like this: Debit Interest Receivable (a current asset account)

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Use a normal Journal voucher for this entry. We have to necessary go this route to take advantage of the auto filling of the interest amount which can appear only when we use the Bank Ltd account in Debit Note in the first place.

Credit Bank Ltd

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Interest Calculation Reports

Interest Calculation reports are automatically produced if the feature is activated In F11: Features and the parameters are set for individual ledger accounts. There are two types of reports, one pertaining to interest on balances of accounts like loans, and the other interest on overdue invoices. Interest reports are available for individual ledger accounts as well as for Groups

Interest Calculation on Ledger Balances (e.g. Loans)

You can get a report on the Ledger balances for the interest calculated.

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Select Account E.g. Bank Loan Account. Interest is re-calculated with every change in balance outstanding. The Cr in the interest amount should not be confused to resemble an Income. It only means that it is payable and is a Liability. To ease interest recording, Tally has an interest template, a special voucher class in Debit Note and Credit Notes.

Go to Gateway of Tally> Display> Statements of Accounts> Interest Calculations> Ledger

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The interest screen will appear similar to the one below: Interest calculation on Bank Loan account

Statement of Interest Due on Invoices

You can calculate interest on each invoice for the period it is outstanding, wholly or partly. Transaction by transaction or bill-by-bill interest calculation is permitted for 'Party' accounts like accounts falling under the groups Sundry Debtors and Sundry Creditors. Bill-wise details should be active for the company and the party. The report is similar to the Bill-wise Outstandings Statement. The last column gives the interest amount on the transaction. Press F1: Detailed to see the calculation. Go to Gateway of Tally > Display > Statements of Accounts > Interest Calculations > Ledger Select the ledger Account Peutronics Bangalore

Interest is re-calculated with every change in balance outstanding. The Cr in the interest amount should not be confused to mean an Income. It only means that it is payable and is a liability. The figure is illustrative only and you will need to account for the interest expense and liability through a journal entry.

To ease interest recording, Tally has an interest template, a special voucher class in Debit Note and Credit Notes.

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Group Interest Calculation

The Group Interest Calculation statement is a list of all accounts and sub-groups belonging to the selected group that displays the current balance in each account or sub-group and the total interest. Go to Gateway of Tally> Display > Statements of Accounts > Interest Calculations > Group Select a Group, Eg. Loans (Liability)

The Cr in the interest amount should not be confused to mean an Income. It only means that it is payable and is a liability. To ease interest recording, Tally has an interest template, a special voucher class in Debit Note and Credit Notes. Drill down to the Ledger level Interest report.

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Specifying Closing Stock Values

Closing stock values have to be specified when accounts and inventory are not integrated. Tally allows you to specify closing stock values even if your books are integrated. It would simply ignore the specified figure so long as you maintain the integration. If and when you select to separate the books, the specified values would automatically be considered. To enter the closing stock as on a specific date, you must alter the ledger account. Simply follow the ledger alteration procedure or go from the Balance Sheet via Current Assets. Go to Gateway of Tally> Balance Sheet> Current Assets> Group Summary (or) Go to Gateway of Tally>Account Info.> Ledgers> Alter (Single) Assuming that you had a ledger account 'Stock ' under the group Stock-in-hand the information would be as follows

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You are allowed to alter the opening balance as well as specify/alter closing balances on different dates. You would typically specify Balance Sheet dates so that the Balance Sheet reflects the amount of that date.

Effective Date for Reconciliation (Bank Accounts only)

The Effective Date for Reconciliation is given for accounts falling under the OCC a/c). By default it is the books beginning date.

Bank Accounts Group (or Bank

This is the date from which you can reconcile your bank account in your books with the bank statements. Normally, it would be the books beginning date. However, you can import data from a previous version of Tally or from any other system (where the reconciliation process was not available or was different). In that case, you may not need to reconcile the bank account with your bank statements from the very beginning. Give the date from which you want the reconciliation facility to be activated. Then, previous entries will not appear for reconciliation.

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Position Index in Reports

This is viewed when you press F10: Chg Sort when the ledger is in the alteration mode. If this is done, it remains so till you deactivate it by pressing F10: Skip Sort. The topic has been discussed under the chapter "Groups" under Advanced Usage. The default setting is 1000 for all ledgers. Please note that the index is relative to other ledgers and groups within a parent group. Hence, the position of a ledger may be changed within the Group, to which it belongs, by changing the number 1000. Any change would not position the ledger outside the parent group. If a group comprises of many groups (subgroups) and ledgers, the position index would determine their position within the parent group. For example: Prior to any change in their indices, the ledgers and the sole group 'Communication Expenses' under the group 'Indirect Expenses' are displayed as below. (Ledgers are directly under the group Indirect Expenses and not under Communication Expenses sub-group): Gateway of Tally > Display> Account Books> Group Summary> Indirect Expenses

The position index of Communication Expenses (it is a group as indicated by its bold font) is 290 and all ledgers 1000. You would notice that because of this, Communication Expenses is at the top, and the others sorted alphabetically as they have the same index of 1000.

We now change the index of General Maintenance to 280 and of Staff Welfare to 900. We now see General Maintenance at the top, followed by Communication Expenses and Staff Welfare. Then the rest with 1000 would be in alphabetic order. You can change the index from the display screen itself by positioning the cursor on the particular account and pressing Ctrl+Enter to bring up its master to alter.

Indirect Expenses

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Displaying and Altering Ledgers

Displaying and Altering Ledgers can be done in Single mode and Multiple mode. The Multiple mode allows you to display and alter multiple Ledgers at a time.

Displaying and Altering a Single Ledger
You can view the details of the Ledger Masters in Display mode. Display does not permit any modification. However you can make changes to Ledger Masters in Alter mode.

Displaying a Single Ledger
Go to Gateway of Tally > Accounts Info. > Ledgers > Display (under Single Ledger). Select the Ledger from the List of Ledgers. The Ledger Display screen is displayed. You will be able to view the details of the selected Ledger Master.

Altering a Single Ledger
Go to Gateway of Tally > Accounts Info. > Ledgers > Alter (under Single Ledger) Select the Ledger from the List of Ledgers. The Ledger Alteration screen is displayed. You are allowed to alter any information. Make the necessary changes and Accept Yes to save. Specifying Closing Stock Values of a Ledger account under the group Stock in Hand This is possible only in Ledger alteration mode. Closing stock values have to be specified when accounts and inventory are not integrated. Tally allows you to specify closing stock values even if your books are integrated. It would simply ignore the specified figure so long as you maintain the integration. If and when you select to separate the books, the specified values would automatically be considered. To enter the closing stock as on a specific date, you must alter the ledger account. Simply follow the ledger alteration procedure or go from the Balance Sheet via Current Assets. Go to Gateway of Tally>Account Info.> Ledgers> Alter (under Single Ledger) (Or) Go to Gateway of Tally> Balance Sheet> Current Assets> Group Summary Assuming that you had a ledger account Stock under the group Stock-in-hand the information would be as follows:

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You are allowed to alter the opening balance as well as specify closing balances on different dates. You would typically specify Balance Sheet dates so that the Balance Sheet reflects the amount of that date.

Deleting a Single Ledger
You can delete a Ledger account from the Ledger Alteration screen by pressing ATL + D. Tally does not allow deletion of accounts that have transactions. Therefore, should you wish to delete an account, which has transactions, you must first delete all its voucher entries.

Displaying and Altering Multiple Ledgers

Displaying Multiple Ledgers
Go to Gateway of Tally > Accounts Info. > Ledgers > Display (under Multiple Ledgers) Select All Items from the List of Groups to view the details of all the Ledgers in Tally. If you want to view the details of all the Ledgers created under a Group select the Group from the List of Groups. The Multiple Ledger Display screen is displayed.

Altering Ledgers in Multiple Mode
Go to Gateway of Tally > Accounts Info. > Ledgers > Alter (under Multiple Ledgers) Select any Group or All Items from the List of Groups. The Multi Ledger Alteration screen is displayed. Make the necessary changes and Accept Yes to save. N o t e : You to delete. are not allowed to delete a ledger from this mode. Select single alter mode

Explanation on Buttons
F3:Company: To work with a different company. In the creation mode, you can create cost categories in the other company. In alter mode, you can copy the information by accepting the screen (<enter> or <Ctrl>+<A>). The old company's information remains. Not available in Display mode. F3: New Cmp: To work on the same report of another company. Available only in display mode. F4: Parent: To move the cursor to the field 'Under Group' F4: New Parent: To bring up the list of Groups to select a new parent Group. Zero Op Bal: To nullify (change to zero) all opening balances in this group. F6: Skip names: For faster data entry when you do not need to the names of ledgers. The cursor will not go to that column. Toggle to 'Edit names'. F7:Skip Parent: For faster data entry when you do not need to alter the parent Group. The cursor will not go to the column 'Under'. Toggle to 'Edit Parent'. F8:Skip Details: The cursor will not go to the columns Opening Balance and Dr/Cr. Toggle to 'Edit Details'. F9:Show Closing: Closing Balances replace Opening Balances. This is available only in alter mode. Closing balance is not alterable and the cursor skips the field. F10:Chg Sort: To display a column of sorting position indices. Toggle to 'Skip Sort'. You may change display positions of ledger accounts under the group. (refer to the discussion on the subject in Advanced Usage). Groups, Ledgers, Cost Categories, Cost Centres: To enable you to switch to these areas without having to quit from the current screen.

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Credit Limits

Credit Limits can be specified for any account falling under the groups Sundry Debtors and Sundry Creditors. Accounts under Sundry Creditors are permitted because there can be a two-way trade with a party even if it is classified as a creditor or debtor. Classification is done on the basis of the major role. More: Setting Credit Limits Effect of setting credit limits Exceeding Credit Limits

Setting Credit Limits

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To set credit limits: Go to F11 Features > Accounting Features > Set Maintain Budgets and Controls to Yes Go to Gateway of Tally> Accounts Info> Ledgers> Credit Limits (under Multiple Ledgers)

If you do not set credit limits, you can still make invoices and give credit periods at the time of invoicing. However, that may not be desirable, especially in a decentralized environment. Therefore, to minimise errors during invoicing, you might prefer to set these important terms beforehand.

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Limit Alteration screen is displayed. The list of ledger accounts is displayed. You can set credit limits for both amounts and periods here.

Credit Limit
Specify the amount of credit limit against the ledger account in this field. You can set the amount limits in foreign currency if you wish, for customers who are usually invoiced in foreign currency.

Credit Period
Credit Periods are in days only and are calculated from the effective date. If a separate effective date field appears in your voucher, the credit period is from the effective date, which might differ from the voucher date. If the voucher date is the only date field in the voucher, then it is also the effective date and the credit period is from this date.

Effect of Setting Credit Limits

The effect of setting credit limits is that during voucher entry (also invoice entry), the credit terms are filled up by the pre-set figures. If the voucher configuration (through F12: Configure) is set to disallow modifications of all fields during voucher entry, the cursor skips these fields and modification is not permitted. However, the configuration is set to permit modifications to all fields - alteration of the pre-filled fields is allowed. The current balance and the credit limit of the party are displayed in the order and invoice entry forms, which is helpful to assess the amount acceptable.

Exceeding Credit Limits

During invoice or order entry, if the credit amount limit is exceeded, the voucher entry does not proceed further. You have two choices at this stage:

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1. 2. Enter a lower value so that the entry can be completed. Abandon the current entry and obtain authorization to increase the credit amount limit in the Multi Ledger Limit Alteration screen.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE This is a controlled activity and will depend on the security permissions for altering credit limits.

Cost Centres

A Cost Centre is any unit of an organisation to which transactions (generally, revenue) can be allocated. When only costs or expenses are allocated to these units, they are referred to as Cost Centres. When profits are also allocated to these units, they become Profit Centres. You can now obtain a Profit and Loss account of each such Profit Centre. Cost Centre in Tally allows an additional dimension to a transaction where a Ledger account indicates the nature of the transaction. It does not readily disclose, except in the narration field, which part of the organisation was involved in the transaction. By providing Cost Centres, a transaction can be allocated to it, which would then enable extraction of all transactions for a Cost Centre. Tally gives you the Cost Centre break-up of each transaction as well as details of transactions for each Cost Centre. Some examples of Cost Centres are

Departments of an organisation - Finance, Manufacturing, Marketing, and so on.

Products of a company.

Individuals such as Salesman A, Salesman B.

Use of Cost Centres
You can classify Cost Centres just as how you classified Group/Ledger accounts. You can have Primary Cost Centres and several levels of Cost Centres under each Primary Cost Centre. Consider the following example. Primary Cost Centres - Finance, Manufacturing, Marketing. Under Marketing, classify the company's sales executives as Cost Centres. This will help you track a sales executive's performance, in terms of cost and revenue generated. You will then have the following Cost Centre structure (shown here only for the Marketing Department): Primary Cost Centre - Marketing Under Marketing: Salesman A Salesman B Salesman C Allocate expenditure incurred on sales by the salesmen, as well as the sales generated by them, directly to their Cost Centres. The allocation is done online at the time of transaction entry. This prevents allocation problems at the end of the period, when you find a large number of transactions not allocated. By allocating expenses and sales transactions to the salesmen, you are setting up a valuable information system that tracks the performance of your salesmen.

More: Creating a Single Cost Centres Altering a Cost Centre

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Creating a Single Cost Centre

To create a Cost Centre, set Maintain Cost Centres to Yes in F11: Features. It is advisable not to set More than ONE Payroll/Cost Category to Yes, unless required. By default, Tally activates the Cost Centre feature for Ledger accounts under Sales Accounts, Purchase Accounts, Expense and Income groups. Go to Gateway of Tally> Accounts Info.> Cost Centres> Create (Single Cost Centre) The Cost Centre Creation screen displays.

A brief explanation on each of the fields in the Cost Centre Creation screen follows.

Name
Enter the name of the Cost Centre in this field. For example, Bangalore.

alias
Enter an alternative name, if required. For example, the Cost Centre Bangalore can be referred to as Head Office or by a code number.

Under
Select the parent Cost Centre under which the Cost Centre needs to be created from the List of Cost Centres. If you want the Cost Centre to be a Primary Cost Centre, select Primary from the list. Refer Creating Cost Centres for Job Costing for details on using Cost Centres for Job Costing. Note: Unlike Groups, you can allocate transactions to Primary Cost Centres. However, you should do so when you do not have Sub Cost Centres under the Primary Cost Centre. It is suggested that you allocate transactions to the lowest levels (similar to ledgers).

Displaying a Single Cost Centre
To display the details of Cost Centre masters

Go to Gateway of Tally > Accounts Info. > Cost Centres > Display (under Single Cost Centre) The Cost Centre Display screen appears. It is not possible to make any modifications to the Cost Centre master in the Display mode. You can only view the details in this mode.

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Altering a Cost Centre

To alter an existing Cost Centre Go to Gateway of Tally> Accounts Info.> Cost Centres> Alter (under Single Cost Centre) The Cost Centre Alteration screen appears. Make the necessary changes and Accept to save.

Deleting a Cost Centre
You can delete a Cost Centre from the Cost Centre Alteration screen by pressing ALT+D. You can delete a Cost Centre only if

It does not have any Cost Centres created under it.

It is not used in any transactions.

Explanation on Buttons for Cost Centres in Single Mode
Groups, Ledgers, Voucher Types It enables you to switch to these areas without having to quit from the current screen. F11: Features To change company features. Refer Activate Company Features [F11] for more details. F12: Configure To change the configuration of master information. Note: Features Configuration changes changes affect the affect all companies in current company only. the data directory, whereas

Creating Multiple Cost Centres

You can create multiple Cost Centres in this mode.

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The Multi Cost Centre Creation screen displays.

Go to Gateway of Tally> Accounts Info.> Cost Centres> Create (under Multiple Ledgers)

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A brief explanation on each of the fields in the Multi Cost Centre Creation screen follows.

Under Cost Centre
Select a particular Cost Centre as the parent Cost Centre if you wish to create a number of cost centres under it. If you do not want to be limited/ restricted to one parent Cost Centre while creating Cost Centres, choose All Items .

Name of Cost Centre
Enter the name of the Cost Centre to be created. The alias option is not available in this mode. Select single alter to give aliases to Cost Centres created in multiple mode.

Under
The Parent Cost Centre selected from Under Cost Category field displays automatically. If All Items is selected from Under Cost Category , you have the option of selecting the Cost Centre from the List of Cost Centres . Refer Cost Category for further details

Displaying Cost Centres in Multiple Mode
You can display the details of multiple Cost Centres at a time in this mode. Go to Gateway of Tally> Accounts Info.> Cost Centres> Display (under Multiple Cost Centres) Select a Cost Centre or All Items to display the details of all the Cost Centres under it. It is not possible to make changes to any of the fields in the Display mode.

More: Altering Cost Centres in multiple mode

Altering Cost Centres in Multiple Mode

You can alter multiple Cost Centres at a time in this mode.

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Go to Gateway of Tally > Accounts Info.> Cost Centres > Alter (under Multiple Cost Centres)

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Use <backspace> to move back to the field Under Cost Centre or use the button F4: Parent to change parent. Make the necessary changes in the respective fields and Accept to save. Note: You cannot delete a Cost Centre in multiple mode

Explanation on Buttons in Multiple Mode F4: Parent
It is used to move the cursor to the field Under Cost Centre .

F4: New Parent
It is used to bring up the list of Cost Centres to select a new parent Cost Centre.

F6: Skip Name/Edit Name
It is used for faster data entry when you need to alter only the Category and the Parent Cost Centre, but not the names. When you skip names, you might change the Category or the parent Cost Centre to one, which belongs to another Category. Since this violates categorization rules, Tally displays an error message after you accept the screen.

F7: Skip Parent/Edit Parent
It is used for quicker data entry, when you do not need to alter the parent Cost Centres but only the name of the Cost Centre. The error, that also occurs with F6: Skip Names , should be avoided here.

Groups, Ledgers, Cst Cat:
It enables you to switch to these areas without having to quit from the current screen.

F11: Features:
To change Company features, refer Activate Company Features [F11] for more details.

Cost Category

Cost Categories are useful for organisations that require allocation of resources to parallel sets of Cost Centres. Such organisations would usually be project oriented. Most organisations would OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE UNREGISTERED VERSION not need Cost Categories. The proper use of Cost Centres itself would offer the same benefits. Cost Categories could increase data entry work and make it more complicated. Hence, before opting for Cost Categories, evaluate whether you actually need this option. Always attempt to first use Cost Centres.

Use of Cost Categories

UNREGISTERED VERSION you may allocate, in parallel, a transaction to more THETA-SOFTWARE By using Cost Categories OF CHM TO PDF CONVERTER PRO BY than one set of Cost Centres.
following example illustrates the use of Cost Categories.

The

The Primary Cost Centres such as Marketing, Finance and Manufacturing can now belong to a category Departments. The Salesmen A, B and C can be Cost Centres under a Category - Executives. Similarly, you can create a new Cost Category 'Projects' under which Cost Centres such as Airport construction, Road construction and Buildings may be created. The classification appears as in the following matrix.

Specify a Cost Category to allow allocation of only revenue items or items of both revenue and capital nature. In this example, allow both for Departments and Projects Categories and only revenue for Executives. Salesman A incurs conveyance expenses of Rs. 1000. If he has incurred it for marketing, allocate this amount to the Cost Centre - Marketing and his own Cost Centre - Salesman A. (Allocate this while entering a payment voucher debiting Conveyance and crediting Cash.) If the salesman now incurs expense for the project Buildings, allocate to the Cost Centres - Salesman A and Buildings. Allocate an expense to one or more Cost Centres. It is not essential to always allocate expenses to all Cost Centres. If you did not create Cost Categories, you would have been able to allocate the expense to either the Project Buildings cost centre or Salesman A, not to both. You can obtain details of conveyance expenses incurred by Salesman A on Marketing as well as on the Buildings project when you have Cost Categories. You cannot, however, extract a single report giving details of marketing expenses incurred by Salesman A on the Project Buildings. These are different Cost Categories and cannot be merged. If such reports are required, you must create ledgers such as Conveyance - Marketing which will help you generate the desired report. By allocating expenses to parallel Cost Centres under different categories, you are simply assigning the amounts to them; the amount does not increase. In the above example, the conveyance of Rs. 1000 remains an expense of Rs. 1000 only. Tally performs an automatic reconciliation on real-time basis, saving you the effort of reconciling Ledgers and Cost Centres. Note: Transactions are not allocated to Cost Categories but to Cost Centres only.

Creating a Single Cost Category

To create a Cost Category, set Maintain Cost Centres to Yes in F11: Features and then set More than ONE Payroll/Cost Category to Yes.

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By default, it is set to No. Tally creates a single Cost Category called Primary Cost Category and allocates all Cost Centres created, prior to enabling this feature, to this category. You can create new cost categories, and alter the existing Cost Centres to allocate them under required Cost Categories. To create a Cost Category Go to Gateway of Tally > Accounts Info. > Cost Categories > Create (under Single Cost Category) The Cost Category Creation screen displays.

A brief description on each of the fields in the Cost Category Creation screen follows.

Name
Enter the name of the Cost Category. For example, Products. N o t e: There is no sub-classification of Cost Categories and U n d e r option. Though there is a Primary Cost Category, it categories. hence you do not is not a parent of find an other

(alias)
Enter an alias if you wish to call the Category by another name or even by a code number. This field displays only if you set Allow ADVANCED entries in Masters in Gateway of Tally >F12: Configure> Accts/Inv Info. to Yes.

Allocate Revenue Items
Set this option to Yes, to allocate all sales, purchase, expenses and income related transactions to Cost Centres

that you create under the Cost Category. Normally, you would enable this option. However, should you need to allocate only capital/non-revenue items only to Cost Centres in that cost category, set this to No.

Allocate Non-Revenue Items
You would, usually, disable this option by setting it to No as most Cost Centres need only revenue allocation. However, should you wish to allocate items of non-revenue (capital) or Balance Sheet items, you may set it to Yes. Organisations increasingly require allocation of capital items to Cost Centres. They wish to monitor the capital expenditure incurred on Cost Centres and measure them against revenue earned. Recognising this trend, Tally has provided this option. N o t e : Enable sets Yes, by either revenue or non-revenue items, or default, for revenue items and No for both. Do not disable Non-revenue items. both. Tally

Displaying a Single Cost Category
To view the details of the selected Cost Category masters from this mode Go to Gateway of Tally> Accounts Info.> Cost Categories> Display (under Single Cost Category) Select a Cost Category from the List of Categories. The Cost Category Display screen displays. You cannot make any changes to the fields in the Display mode.

Altering a Single Cost Category

To alter an existing Cost Category

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Select the Cost Category from the List of Categories. The Cost Category Alteration screen displays. Make the changes in the required fields and Accept to save.

Go to Gateway of Tally> Accounts Info.> Cost Categories> Alter (under Single Cost Category)

Deleting a Cost Category

UNREGISTERED VERSION OF CHMdoes not have any cost centre PRO it from the Cost Category Alteration You may delete a Cost Category that TO PDF CONVERTER under BY THETA-SOFTWARE
screen. Use ALT+D to delete it. Tally does not allow deletion of a Cost Category that has Cost Centres.

Buttons in Single Cost Category screens Groups, Ledgers, Vch Types
It enables you to switch to these areas without having to quit from the current screen.

F11: Features
To change company features. A detailed explanation on features has been given in the earlier section under Gateway of Tally. Note: Configuration changes only the current company. affect all companies, whereas Features changes affect

Creating Multiple Cost Categories

You can create multiple Cost Categories at a time using the multiple mode. Go to Gateway of Tally > Accounts Info. > Cost Categories > Create (under Multiple Cost categories) The Multi Cost Category Creation screen displays.

An explanation on each of the fields in Multi Cost Category Creation screen follows.

S. No.
This is an auto-generated serial number.

Name of Category
Enter the name of the Cost Category.

Allocations for Revenue Items
This is set to Yes , by default. However, you have the option of altering it. This denotes whether you want to allocate revenue items to Cost Centres under it.

Non-revenue Items
This is set to No , by default. You can alter it if you want to allocate non-revenue items to Cost Centres under it. N o t e : There is Categories have no Under field Cost Centres as as you cannot sub-classify their sub-classification. Cost Categories. Cost

Displaying Cost Categories in multiple mode
You can display multiple Cost Categories at a time in this mode. To display Cost Categories in the multiple mode Go to Gateway of Tally> Accounts Info.> Cost Categories > Display (under Multiple Cost Categories) The Multi Cost Category Display screen appears. View the details of all the Cost Categories created. It is not possible to make any changes in this mode.

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Altering Cost Categories in multiple mode

You can alter multiple Cost Categories at a time in this mode. To alter Cost Categories in the multiple mode Go to Gateway of Tally> Accounts Info.> Cost Categories > Alter (under Multiple Cost Categories) The Multi Cost Category Alteration screen displays. Make the necessary changes and Accept to save.

Note:

You

cannot

delete

a

Cost

Category

in

multiple

mode.

Buttons in Single Multiple Cost Category screens F6: Skip names
It is used for quicker data entry when you need to alter only the Allocation details and not the names of the Cost Categories.

F8: Skip Details
It is used for faster data entry when you do not need to alter the Allocation (Revenue and Non- revenue) details. You need to give only the names and the default allocations of Yes for Revenue and No for Non-revenue display automatically when you are creating Cost Categories. If you are in alter mode, the allocations that you opted for when creating the Categories are retained.

Groups, Ledgers
It enables you to switch to these areas, without having to quit from the current screen.

F11: Features
It is used to change company features. A detailed explanation on features has been given in the earlier section under Gateway of Tally . Note: Configuration changes only the current company. affect all companies, whereas Features changes affect

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Creating Cost Centres under Cost Categories

To create a Cost Centre under a Cost Category, set More than ONE Payroll/Cost Category to Yes Go to Gateway of Tally > Accounts Info. > Cost Centre > Create (under Single Cost Centres)

Category
This field appears only when you have opted for More than ONE Payroll/Cost Category in F11: Features. Else, Tally automatically creates a Primary Cost Category to which all cost centres are assigned. You will usually not need more than one cost category and should not use it until you are absolutely sure that the same information is not available in Cost Centres. Create a primary cost centre, Bangalore. All the other fields are described in detail in the section Creating Cost Centres in Single mode Displaying and Altering Cost Centres under Cost Categories in Single mode is similar to Displaying and Altering Cost Centres in Single mode explained previously. The only additional field is Category.

Creating Multiple Cost Centres under Cost Categories

Go to Gateway of Tally> Accounts Info.> Cost Centres> Create (under Multiple Cost Centres)

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This is a quick way to create a number of Cost Centres at a time.

Under Cost Centre
Select a particular Cost Centre as the parent cost centre if you wish to create a number of Cost Centres under it. In the above screen, Finance has been selected and the cost centres Taxation, Management Accounts and Treasury are created under it. If you do not want to be restricted to one parent cost centre while creating cost centres, choose All Items . The table Under Cost Centre has the columns Category, Name of Cost Centre and Under. If the parent Cost Centre (the field 'Under Cost Centre') is not 'All Items', the cursor skips the Under field.

Category
Select the Category under which the Cost Centre will be created from the List of Categories or create a new category by pressing [Alt+C]

Name of Cost Centre
Enter the name of the new cost centre. The alias facility is not available in this mode. Select aliases to Cost Centres created in multiple mode. single alter to give

Under
Select the parent Cost Centre from the List of Cost Centres . The list displays only the Cost Centres that belong to the selected Category.

Displaying and Altering Cost Centres under Cost Categories in Multiple mode is similar to Displaying and Altering Cost Centres in Multiple mode explained in the respective chapters. The only additional field is Category.

Error in Categorisation of Cost Centres:
PARENT BELONGS TO ANOTHER CATEGORY! This error occurs when you try to assign a cost centre to a parent cost centre belonging to a different category. In most places, Tally prevents you from making this error, by not displaying a cost centre belonging to a different category. However, this action is not possible when you are altering a cost centre in multiple mode, selecting 'All Items' from Under Cost Centre (You may have chosen to skip either or both). You would have changed the Category without changing the name and the parent. However, Tally is able to ascertain this error only when you accept the screen.

Budgets

A budget is a plan prepared for the flow of funds in an organisation. It contains financial guidelines for the future plan of action for a selected period of time. A budget helps to refine goals CHM funds efficiently. It provides PRO BY THETA-SOFTWARE UNREGISTERED VERSION OFand use TO PDF CONVERTER accurate information for evaluation of financial activities, aids in decision making and provides a reference for future planning.

Multiple budgets can be created for specific purposes in Tally. Budgets for Banks, Head offices, Optimistic budgets, Realistic budgets, Pessimistic budgets, and so on can be created. Departmental budgets like Marketing Budgets, Finance Budgets, and so on, can also be created. Budget figures can be used in Tally to compare actuals and variances. UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE In Tally, you can create, alter and delete a budget.

Activating Budgets Feature
To activate the Budgets feature in Tally:

Select F11: Features > Accounting Features

Set Maintain Budgets and Controls? to Yes.

Accept to save.

More: Creating a Budget Alter a Budget

Creating a Budget

To create a Budget in Tally

Go to Gateway of Tally > Accounts Info > Budgets > Create

In the Budget Creation screen enter a Name for your budget.

Select from the List of Budgets for Under field. You can have a hierarchical setup for budgets. In the List of Budgets, Primary is at the top of the hierarchy and you can create more primary budgets. Sub-budgets can be created under Primary budgets.

Enter the period of the budget in the From and To fields. The period entered can be a month, a year or any other period.

In Set/Alter Budgets of, select

Groups - To create a budget for a Group of ledger accounts. Ledgers - To create a budget for Ledgers. Cost Centres - To create a budget for Cost Centres.

Accept to save.

More: Budget for Groups Budget for Ledger accounts

Budgets for Cost Centres

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Budget for Groups

Set Yes in the Groups field in the Budget Creation/Alteration screen to set budgets for a group or group of ledgers. In the Group Budget screen, select a Group from the List of Groups and enter Account Name . Enter the cost centre for a group in Cost Centre . Select Not Applicable , if the budget is not for a particular cost centre, but for the company. In Type of Budget , select from the following two types. 1. On Nett Transactions

Select this option to monitor the transaction amounts, not the balances. Nett is net of debits and credits for the specified period. For example, Nett transactions for Indirect Expenses are the debit amount for the specified period after reducing the credits for the same period. Opening and closing balances are not considered. 2. On Closing Balance

Select this option to monitor the balance of the accounts, not the transactions. For example, balances of bank accounts, balances of debtors. Enter the budget amount in the Amount field.

Budget for Ledger Accounts

Set Yes in the Ledgers field in the Budget Creation/Alteration screen to set budgets for ledgers.

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Enter the cost centre for a group in Cost Centre . Budgets can be created for ledger accounts pertaining to a cost centre. For example, Accountancy Fees for Finance Group. Accountancy Fees can be repeated for another cost centre such as a Branch. Select Not Applicable if the budget is not for a particular cost centre, but for the company.

In the Ledger Budget screen, select a Ledger from the List of Ledgers and enter Account Name .

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1. On Nett Transactions

In Type of Budget , select from the following two types.

Select this option to monitor the transaction amounts, not the balances. Nett is net of debits and credits for the specified period. You do not expect to have a negative figure in Revenue items which reflect the transacted amounts. If there are negative figures, they are adjustments. For example, an expense account like travel always has debit entries unless there is a reversal due to error or charge to a customer. Caution: When using Nett Transactions, the Budget Closing Balances actually get adjusted even if you have not selected this type. The figures in the Profit & Loss Account reflect the Closing Balance figures. Note: To compare expenses, select On 2. On Closing Balance transactions against Nett Transactions. budgets, especially revenue income and

Select this option to monitor the balance of the accounts, not the transactions. For example, balances of bank accounts, balances of debtors. This is useful for Balance Sheet items. Note: To items like compare closing balance figures in final statements, assets and liabilities, select Closing Balances. especially Balance Sheet

Enter the budget amount in the Amount field.

Apportionment of budget specified for periods more than a month

Ledger Budgets are apportioned for each month on the basis of number of days.

Group Budgets do not get apportioned. Hence, Budget for Current Assets does not automatically flow to sub-groups.

Closing Balances Budget: Each month will have the same budget value except that the actual Opening Balance is taken into account.

Nett transactions Budgets specified for a period get equally apportioned over the period.

Enter the budget amount for the specific ledger.

You can set the Budget for as many ledger accounts as required and accept to save.

Use Columns and Variance options to compare budget figures with actuals in most statements.

Budgets for Cost Centres

The purpose of a budget is to control expenditure. You can create multiple budgets in Tally, each for a specific purpose such as for the Bank, for the Head Office, Marketing budgets, Finance budgets, and so on.

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Set Yes in the Cost Centres field in the Budget Creation/Alteration screen to set budgets for cost centres.

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Enter a budget figure in Expenses for the cost centre.

In the Cost Centre Budget screen, select a Cost Centre from the List of Cost Centres and enter Cost Centre .

Enter a budget figure in Income for the cost centre.

Enter Closing Balance.

Enter more cost centres, if required, and accept to save.

Alter a Budget

You can modify a budget, using the alter option.

Go to Gateway of Tally > Accounts Info > Budgets > Alter

In the Budget Alteration screen, modify the fields as required. Change the period or change budgets of Groups, Ledgers and Cost Centres.

Note:

Set/Alter

Budgets

is

set

to

No

by

default.

Set

this

option

to

Yes

to

alter.

Deleting a Budget
To delete a budget

Go to Gateway of Tally > Accounts Info > Budgets > Alter

Press Alt+D.

Budget Variance

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1. Budget Variance can be accessed from:

Trial Balance and Group Summary have a feature called Budget Variance. The Budget Variance button (Alt+B) is active if Budgets feature is enabled and at least one budget created. Budget Variance displays Budgets, Actuals with percentage and Variance from the budget with percentage.

Gateway of Tally > Display > Trial Balance to display the Trial Balance screen.

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Gateway of Tally > Display > Account Books > Group Summary and select a group from List of Groups to display the Group Summary screen.

2. 3. 4.

Click on Budget Variance (Alt+B) from the toolbar to display the Budget Analysis screen. Select from the List of Budgets for Budgets/Scenario. Three columns display Budget, Actuals and Budget Variance, respectively.

Introduction

A voucher is the primary online document for recording transactions. Transaction recording and analysis are greatly facilitated by having specific formats for different types of transactions. Tally provides 16 different predefined voucher formats or what it calls predefined types of vouchers. These are used for recording various transactions. A payment voucher is used for all types of payments, a receipt voucher for all types of money receipts, a sales voucher for recording sales transactions, and so on. These predefined vouchers fulfil your normal transaction needs. They pertain to both accounting and inventory. Some of these vouchers can also be used differently according to the situation, e.g., sales vouchers can be used as invoices, vouchers can be post-dated, etc. Such use can be decided at the time of voucher entry by selecting the appropriate button. The predefined voucher types can be displayed as follows: Gateway of Tally > Display > List of Accounts > <Ctrl>+<V> [Voucher Types]

Tally acknowledges the special requirements of some users for more voucher types. These arise in cases like when you need the same voucher but in different names or separate series of numbers. Examples include Cash Payment Vouchers and Bank Payment vouchers where the relevant predefined voucher is Payment Voucher. You may have two or more sets of Sales Vouchers for different kinds of sales transactions e.g. Credit Sales, Cash Sales, etc. You would need to alter a voucher type to change default settings for different information appearing in vouchers. Using F12: Configure, you can further configure a voucher.

Alter a predefined voucher type

Even if you do not need extra voucher types, you would normally alter the predefined voucher types to customise them according to your needs, e.g., to control their numbers. Display or alter each voucher type (by pressing enter or double clicking) after Gateway of Tally > Display > List of Accounts > Ctrl+V Voucher Types We shall create a new voucher type to explain the different features. It would also be applicable to alteration of voucher types including predefined types.

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Create a Voucher Type

More:

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Creating a Voucher Type

Go to Gateway of Tally > Accounts Info. > Voucher Type > Create N ote : A new voucher type must assume the functions of a predefined voucher type

The Voucher Type creation screen is divided into three sections depending on the various settings.

Name
Give the name of the new voucher type, e.g., Sales Invoice.

General
Type of Voucher

The type of voucher should be any one of the predefined voucher types (already listed in introduction). The new voucher type would inherit the properties of this predefined voucher type. It would function exactly like the predefined voucher.

Abbreviation
A n abbreviation is required particularly for unformatted reports, which do not use compressing techniques. (Tally allows printing of both formatted and unformatted reports). Even if the Abbreviation is not specified, Tally automatically sets a default name to the Voucher. In this example, give ‘Purch’ as the abbreviation. Though there is no restriction on the length of the abbreviation, it should preferably be five characters or less.

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Method of Voucher Numbering
This is, perhaps, one reason for your opting for a new voucher type. There are three methods available: None

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This will disable numbering of such vouchers. If you select this method, no further information is required. Manual This method will allow you to number vouchers of this type yourself. It does not check for sequence of the numbers and permits you to specify anything you wish in the voucher number field. However, you may choose to prevent entry of duplicate numbers. If you do, enable the next field 'Prevent Duplicates'. 1. Prevention of Duplicates is possible if you enable the option at the time of creation. You may enable it later (by alteration) only if there are no transactions of this voucher type. 2. If you face difficulty because transactions now exist, simply create another voucher type for preventing duplicates of subsequent voucher numbers. No further information is required for manual numbering method. Automatic This method is both flexible and exhaustive. Use it carefully to give you your desired numbering system. Select this option to let Tally number the vouchers automatically for you.

Use Advance Configuration
If the Method of Voucher Numbering is set to Automatic, then an additional field to set the advanced configuration for the Voucher type appears. Setting this field to Yes , Voucher Type Creation (Secondary) screen appears. Refer to Use Advance Configuration for more details. A further discussion on these options is necessary.

Use EFFECTIVE dates for vouchers?
Select Yes if you want to enter effective dates for vouchers. You would opt for this if you have instances where a transaction under consideration for overdue/ageing analysis is recorded currently but will take effect from another date. If effective date is entered, the overdue/ageing will be considered from the effective date and not from voucher date.

Make Optional as Default
Setting this option to Yes , will set your Voucher to Optional Voucher by default. Refer to Optional Vouchers for further details.

Use common narration?
Select Yes to give a common narration for the entire voucher. Tally vouchers can have multiple entries. Hence,

you may wish to give a common narration for all the entries of the voucher or a separate narration for each entry or both. Select Yes even when you want both. Select No if you do not want a common narration. Example of common narration in a voucher:

Narrations for each entry
Select Yes if you want to give a separate narration for each entry of a voucher. This would be applicable for a multiple entry voucher where you want separate details for each entry. Select No if you do not want separate narration for each entry.

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Note Excise

:

The feature

option to create is enabled in

an Excise Voucher F11 features.

type

appears

in

the

General

section

if,

the

Printing
Print after saving voucher?
If you want to print every voucher after entering it, select Yes , else select No . This is suitable for an online environment where you use the Tally printed voucher as the formal voucher. Remember, however, that the transaction is already recorded and posted and should you wish to make corrections to the printed voucher, you must alter the Tally voucher online and print it out again. N o t e : Depending on the printing features appear in Type this of Voucher field. you have selected to create or alter, different

Name of Class
You can create classes by entering the class name in this section. A detailed discussion on Voucher class creation

is covered in Voucher Classes .

Use Advance Configuration

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I f the Method of Voucher Numbering is set to Automatic, then an additional field to set the advanced configuration for the Voucher type appears. Setting this field to Yes, Voucher Type Creation (Secondary) screen appears.

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Starting number
Give the number for the first voucher. Usually it is 1. You can set it to any number you want. Tally will autoincrement from this number for subsequent vouchers. However, the numbering of vouchers also depends on other variables supplied by you, which follow hereafter.

Width of Numerical Part
You may leave it blank to let Tally automatically adjust the width according to the number. However, for more aesthetically aligned look in reports, you may keep a fixed width, e.g., 3.

Prefill with ZERO?
When the width is specified, the digits before the number is blank if 'No' and zeroes if 'Yes'. E.g. 001 1 010 10 PEU/001/06-07 PEU/1/06-07 PEU/ 1/06-07

Restart Numbering
Voucher Numbering may be restarted with the starting number (as specified) at intervals selected by you - Daily, Monthly, Never, Weekly or Yearly. You must give the date whence numbering should restart under the field Applicable from. The date must be the first day of the month. You may specify more than one Restart dates. For example, should you wish to renumber your vouchers from 01 June 06 on yearly basis, you must specify it in the next field. This would retain the numbering system in the prior period. If, however, you want to change the numbers from the beginning from monthly to yearly basis, simply alter the first field itself.

Prefix Details
If you want the voucher numbers to be prefixed with some fixed information, give the information here. Examples of prefix details are: 1. 2. 3. month of the voucher as given above- 'April/' company info like 'TSPL/' even fixed number series like '1000'

Note: The numeric portion begins immediately after the prefix information. Therefore, be sure to give a space or a slash '/' or some such character should you want a separation, e.g. we have specified April/. The slash would cause the voucher number to appear as April/001, otherwise it would be April001. This facilitates simple usage for fixed number series appearing as 200100001 where 2001 is the prefix, and 00001 is the starting number with a width of 5, and with leading zeros. You can choose different prefix information for different periods or let one continue. The prefix continues from the date you mention under 'Applicable from' till the next date that you may give under 'Applicable from'. Hence, we have chosen to change the prefix from April to May when the month changes. Please note, however, that if we omit to change the prefix for the subsequent months (i.e. do not give 'Applicable from' date for the month), your voucher numbers for even June, July etc would contain the prefix 'May/'.

Suffix Details
You can also give fixed suffix information for the voucher number. The same rules and effects as for Prefix Details apply.

Voucher Classes

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Cost centre classes affect all voucher types. For further details refer to Cost Centre Classes.

Voucher Classes are available for all major voucher types and the Cost Centres can be allocated if classes are used. Automation of cost centre allocation has met the need of 'percentage allocation' based on predefined figures.

Voucher Classes for Payment, Receipt and Contra Vouchers

UNREGISTERED mode rather than in Tally's traditional double entry mode. YouBY THETA-SOFTWARE entry' or list VERSION OF CHM TO PDF CONVERTER PRO can also use it to have a separate form
for each cash and bank account. Let us take an example of a Payment Voucher. You can either alter the existing Payment Voucher Type or create a new voucher type based on it. (From Gateway of Tally > Accounts Info > Voucher Types ) The item Name of Class is below Effective Dates for Vouchers and above the Numbering Table. Give a name to the class by simply typing it, e.g. Barclays Bank Payment. You may create more than one class. Hence, you might want to have one more for Cash Payment.

The primary intention of using classes for payment, receipt and contra vouchers is to enable data input in 'single

The Class Table

Exclude these Groups
Groups other than Bank or Cash groups should not be selected. This is used to exclude Cash or Bank Groups that are not to be used in this class to pay out the money. In our example, we want to exclude Cash and Credit Cards.

Include these Groups
Groups other than Bank or Cash groups should not be selected. You might exclude a top level group but include its sub-group.

Ledger Name
Selecting the ledger account that will be used to pay out the money will eliminate the need to select it during entry. In this case, it is BarcSlays Bank. In a receipt voucher, you will select the ledger account into which monies will be received. You may even select 'Not Applicable'. The purpose of selecting 'Not Applicable' will be to permit Single Entry mode and at the same time retaining the option of selecting the account during entry. Note: Exclude which the class or is Include Groups are irrelevant when you specify a Ledger Name created. They are useful when you select 'Not Applicable' . for

In case you do not require split payments, you could create only one class with nothing in include/exclude Groups and without any ledger Name. A single class does not require class selection and is a rapid way of using Single Entry mode with full functionality of all ledgers available. Accept the class table and the voucher type alteration. You may use [CTRL]+[A] combination. More: Payment Voucher Entry with Classes Purchase Entries in Invoice mode (without PDF CONVERTER PRO BY THETA-SOFTWARE UNREGISTERED VERSION OF CHM TO classes) Purchase Voucher Classes Additional Accounting Entries Voucher Classes for Journals

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Payment Voucher Entry with Classes

Select Voucher Entry at the Gateway of Tally. Press F5:Payment . You have to select a class or Not Applicable if no class is desired for this entry. If Cost Centre Class has been set, it can be selected too.

The entries will be made as follows:

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The Voucher Class is Barclays Bank Payment. We have selected a Cost Centre Class called Departments too. That will be discussed later. Note that you do not have to select the bank account and the entries are not in the regular Dr/Cr format. Data entry in Tally was already very rapid. It is now faster than before!

Purchase Entries in Invoice mode (without classes)

Purchase Vouchers can now be created in Invoice mode. You can enter the suppliers' invoices in the same way as they physically appear.

Set-up Invoice Mode entry for Purchase transactions
1. 2. 3. 4. 5. Select F11:Company Features . Select F1: Accounting Features Set the option 'Allow Invoicing' to Yes Enter Purchases in Invoice Format? Set it to Yes Accept the screen using Ctrl+A.

Entry of Purchase vouchers in Invoice mode
Select F9:Purchases . Select As Invoice button or use CTRL+V . This button is a toggle for Invoice and Voucher modes. You may want to use the voucher mode for more complex entries. Entries are exactly like sales invoices and hence are not discussed.

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The treatment of additional cost of purchases needs elaborating.

Additional Cost of Purchases
If it is desired to add the other purchase expenses like freight and import duty to the cost of the item, you would have activated the option in F11:Company Features 'Track Additional Costs of Purchases'. In voucher mode, the additional cost details have to be filled in after the allocation of each purchase item. In Invoice mode, the treatment of additional costs on stock items is automated by altering the parent group master details of the expenses. In many situations, more than one item is purchased where the expense that is incurred for them is charged as a lump-sum. However, to give an effective cost including the expense to each purchased item, you would earlier give additional costs of purchase for each item. That method though very flexible and practical could be tedious. That process is now automated and allocation of the expense to stock item can be done on a predefined basis. The following set-up activity is required to be carried out: 1. Alter the Parent Group of the expense ledger accounts, e.g. Direct Expenses. You will find a new option Method to Allocate when used in Purchase Invoice. If you want to appropriate the ledger accounts under

1. this group to stock items by either Quantity or value, you must select the option. Select Appropriate by Qty for our example.

Now if freight belongs to the group Direct Expenses, the amount will be apportioned by quantity, i.e., in the ratio of 1:5. If however, the parent group does not have an allocation method or is set to No Appropriation or Not Applicable, the amount of freight will not be apportioned to the items and will simply remain in the financial books as expense. N o t e : In Invoice mode, Purchases can be allocated to Cost Centres only when Cost Centre classes are used, i.e., you have to auto-allocate purchases to cost centres if you are using the Invoice mode of entry. Using the voucher mode of entry for purchases allows manual allocation of purchases to cost centres.

Purchase Voucher Classes

Purchase Voucher Classes are templates where you can restrict accounts to be used in entries as well as automate accounting entries for items and expenses.

UNREGISTERED VERSION OF CHM TOVoucher Type or create a new voucher type based on it. You can either alter the existing Purchase PDF CONVERTER PRO BY THETA-SOFTWARE
From Gateway of Tally > Accounts Info > Voucher Types The item Name of Class is below Effective Dates for Vouchers and above the Numbering Table.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE now to be completed.

Give a name to the class by simply typing it, e.g. Imports. You may create more than one class. The class table is

Exclude and Include Groups have been discussed before and do not require further elaboration.

Default Accounting Allocations
Each Stock Item in the invoice can be allocated to the financial (nominal) account mentioned here. Hence, all the stock items that will be entered in this class will automatically affect the Nominal ledger account Purchase – Imports. Of course, the stock item record remains as it is and can be viewed separately. The allocation cannot be split up at present but in future releases you will be able to split this to cater to Tax inclusive prices.

Additional Accounting Entries

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We have selected Freight which is an account under the group Direct Expenses.

Expenses and other charges like Import Duty, Freight, VAT, Sales Tax can be specified here which will be calculated automatically on the Type of Calculation and Value basis. For explanation on each Type of Calculation , refer the Appendix.

Type of Calculation
We select User defined value as we would like to input the amount of freight charged on the invoice.

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However, we would like Freight expenses to be apportioned to each stock item based quantity and we want the apportionment done automatically.

Auto-allocation of Additional Entries to Stock Items Purchased
(This method is not applicable for sales invoices) The Group Direct Expenses had been altered earlier to allocate by quantity. Hence, the allocation will be done automatically based on quantity. Your purchase voucher class has been set-up. You can have more than one additional accounting entries. You can also have more than one Class.

Voucher Classes for Journals

Classes allow Journals to handle Forex Gain Loss Adjustments for companies having Multi-Currency Accounts. You would create a 'class' in the normal way (Accounts Info > Voucher Types > Alter > Journal). And having selected the class during Voucher Entry, will find only those Ledger Accounts appearing which have a Gain/Loss to be adjusted as of the date of voucher and auto-calculation of these amounts.

Voucher Classes for Debit Notes and Credit Notes
Voucher classes for Credit Notes are similar to sales invoices except for one important inclusion. You can set the class for interest entries to enable adjustment of interest payable. If the Interest option is selected, the other sales invoice-like options will not be available. A separate class may to be created for entries like Sales Returns. Since Sales and Purchase Invoice classes have already been dealt with, we shall not elaborate on this behavior anymore. Debit Note classes can be set for interest entries only. Classes for other entries are not available as the invoice mode of entry is not possible for Debit Notes. Classes for interest entries are covered under Interest Calculations.

Voucher Classes for Stock Journal

Stock Journal classes allow you to handle transfers from one location (Godown) to another, for companies having Multi-Location Inventory and at least two location/Godowns created. Once the class is selected, you will need to specify the Destination and simply provide the list of items to be transferred. Through this class all items/batches UNREGISTERED VERSION OF CHM to thePDF CONVERTER PRO BY THETA-SOFTWARE thus selected will be exactly mirrored TO destination, including Batch Number, Rate and Value. Go to Accounts Info > Voucher Types > Create Select the Stock Journal Voucher from the List of Voucher Types. Enter all the fields as per your requirement. Refer Creating a Voucher Type for more details.

UNREGISTERED VERSION OF CHMClass PDF CONVERTER PRO Class field. (Eg: Transfer) To create a Stock Journal Voucher TO , enter a name in the Name of BY THETA-SOFTWARE

The Class: Transfer screen is displayed. To create a class for inter-godown transfer set the option Use Class for Inter-Godown Transfer to Yes.

Additional Information Refer Voucher Classes for Stock Journals in Job Costing for more details.

Cost Centre Classes

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How does it work?

The purpose of Cost Centre Classes is to facilitate predetermined allocation of ledger accounts (like expenses and incomes) to cost centres during voucher entry. Allocation to cost centres can be made while using voucher classes and the cost centres can be 'classed' too.

Automation of cost centre allocation involves 'percentage allocation' based on predefined figures. Cost Centre Classes are defined where percentages at which allocation is to be made are given.

UNREGISTERED VERSIONall voucher types.PDF CONVERTER PRO BY the cost centre class, the allocation Cost centre classes affect OF CHM TO In voucher entry, depending upon THETA-SOFTWARE
will be carried out in the background without the allocation screen appearing at all. More: Set up required for Cost Centre Classes Voucher Entry with Cost Classes An explanation of 'Types of Calculation'

Set up Required for Cost Centre Classes

Before you select classes, it is advisable to create the cost centre structure. Hence, create your cost categories and cost centres before creating classes. Draw out on paper the Classes required and indicate which cost centres will be affected for each class. For example, You might have the following structure:

Divisions
1. 2. 3. Export Wholesale Retail Departments 4. 5. Finance Marketing Where Divisions and Departments are Cost Categories the others are cost centres. Now, you want to allocate sales to the following Cost Centre Classes: 6. 7. 8. Export - to allocate 100% of Export sales to the cost centre Export Wholesale - to allocate 100% of wholesale sales to the cost centre Wholesale Retail - to allocate 100% of retail sales to the cost centre Retail You also want to allocate all the sales to the Marketing Department You want to allocate Marketing Expenses pro-rata in the following manner : 1. 2. 3. Export – 60% Wholesale – 25% Retail-15%

100% to Marketing Department With this structure, let us now set up the classes.

Set up Cost Centre Classes
At the Gateway of Tally, select F11: Features > Accounting Features

Set Use Pre-defined Cost Centre Allocations during Entry to Yes

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(The other options can remain as previously set and are not discussed here.) You now bring up the Cost Centre Classes creation screen. Type in the Class names and select the Categories and the respective cost centres. Specify the percentage of allocation. After entry, your auto-cost allocation screen will appear as follows :

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We have created the Cost Classes as Export, Wholesale, Retail and Marketing Expenses. Divisions and Departments are cost categories. Export, Wholesale and Retail are cost centres under Divisions. Marketing Group is a cost centre under Departments. Although the names of the class and the cost centres are the same in the example, you need not have them with same names.

Voucher Entry with Cost Classes

Each voucher now contains the Cost Class option at its head. Select Not Applicable in case you want to allocate manually. Select a cost class to auto-allocate according to the predefined percentages set in that class. We will take two examples, sales and payment. In sales, we will select Export as the Cost Class. Go to the Voucher Entry Screen Select F8: Sales You have the following options:

Your voucher type : Sales. You could select another voucher type if required.

Class
This is the Voucher Class which automates ledger allocation and additional accounting entries

Cost Centre Class
Select one of the classes created earlier, Export in this case. Now enter the sales invoice as usual. The cost centre allocation sub-screen will not come up and the allocation will be done automatically in the background. After accepting the entry, check the cost centre displays to verify whether the allocation was done correctly. Similarly, when you press F5:Payment , you are presented with similar options. Select Marketing Expenses in that case. The cost centre allocation sub-screen will not come up and the allocation will be done automatically in the background. Check the cost centre reports for allocation. You may even use PgUp or alter the voucher to display the allocation made. It would show the allocation in the voucher. Example

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

You could combine Voucher Class and Cost centre class to maximize automation!

An Explanation of Types of Calculation

As Additional Excise
In the Indian sub-continent, a manufacturing tax, or Excise is levied. For some products, a supplementary levy on the 'Basic Excise Duty' is charged, or 'Additional Excise Duty'. This is a surcharge calculation. For example, an Additional Excise Duty of 10% on the Basic Duty. While the calculation method is identical to 'As Surcharge' (see below), the result is to provide a 'Total Excise Payable' calculation accurately during Invoice printing.

As a Flat Rate
When you wish to specify a standard mark-up/down on an invoice. For example, 100.00 for every invoice, independent of the qty/value of the invoice.

As Surcharge
When you wish to calculate the value based on the immediately preceding figure. For example, a Sales Tax of 10% is applicable on an invoice, which would be calculated on the value of goods sold. On this, a 'Surcharge' of 5% - i.e. 5% of the Sales Tax value is applicable.

As Total Amount Rounding
Typically, the last line in an invoice. You would need to create an account which would carry the 'rounding difference'. Now, as the other values of the invoice are calculated, this account would automatically get adjusted to keep the Total Invoice Value to the desired rounding limits. Normally, you would also mark this invoice as 'Remove if Zero ? Yes', so that the account head is not retained in the invoice print-outs if no rounding was applicable.

As User Defined Value
This allows you to specify a value while creating the invoice itself. Normally, you would use this when the basis of calculation is neither Value nor Qty dependent, and therefore, needs to be entered every time you create an invoice.

Based on Quantity
In case of calculations based on the 'Total Qty' supplied. For example, you may have Freight or Forwarding charges as 2.00/Kg, and if the total qty supplied in the invoice is 200.000 Kg, then the amount should become 400.00. The 'Value Basis' will also need to be provided as '2.00/Kg' or '0.50/Pc' as the case may be.

On Current Sub Total
In certain environments, taxes are applicable on the Total Goods Value as well as supplementary charges such as 'Excise Duty', 'Packing Charges' etc. Normally, when the tax calculation method is specified as 'On Total Sales' (see below), the calculations are based on the Total Goods Value only. When you wish the supplementary charges to be included, then you would set 'On Current Sub Total' as the type of calculation.

On Item Rate

Typically used for both VAT as well as Excise Duty style calculations. Here, you would have specified the Rate of Tax applicable for each Stock Item, and you would want only those items to be used for calculation purposes which equals this Rate of Tax. The advantage is to be able to mix multiple Tax Rate products in the same Invoice, and yet get the correct ones picked up for each Tax bracket.

On Total Sales
The most common basis OF CHM TO PDF the total value of goods/services. This method would UNREGISTERED VERSIONof Tax Calculation is onCONVERTER PRO BY THETA-SOFTWARE using the sum of Stock Items used in the invoice. calculate

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Currencies (Multiple currencies and foreign exchange)

Many Organisations have transactions in more than one currency. Such transactions have to be recorded either in the base (home) currency or in the foreign currency. If the transactions are recorded in home currency, the rate at which the foreign currency is exchanged should be recorded as well. At times you need to record the transaction in the foreign currency itself when you maintain the balance of the concerned account in foreign currency. Tally uses the term base currency for the currency in which your account books are kept. Foreign Exchange is used interchangeably with foreign currency. The base currency is specified while creating the company. Tally makes it easy to manage multiple currencies, automatic calculations of exchange rates, automatic conversion of any currency used to record a transaction to the currency of the account, etc. The Balance Sheet and Profit & Loss Account of the company is maintained in the base currency. Conversion of foreign currency account balances is done as per rules set by you. More: Enabling Multiple Currency in Tally

Enabling multiple currency in Tally

Enable Multi-Currency feature to view and enter transactions in multiple currencies. 1. Go to VERSION OF UNREGISTEREDGateway of Tally CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE 2. 3. Select F11: Features > Accounting Features > to display the Company Operations Alteration screen Set Allow Multi-Currency? to Yes

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE 4. Accept to Save.
Multi Currency feature is now enabled.

Currencies menu
View the Currencies menu from Gateway of Tally > Accounts Info > Currencies .

More: Create a Currency Alter Currency Rates of Exchange

Creating a Currency

Use ASCII Special Characters with [Alt] key combination if your keyboard does not have the symbol. Utilities like Character Map (Start > All Programs > Accessories > System Tools) in Windows shows the key combination for most symbols. This might be different on some notebook computers, refer to the computer's user manual or the vendor. You cannot assign a duplicate currency symbol for a company in Tally. The Key combinations for a few currency symbols are given below: 1. 2. 3. 4. Alt + 156 –Pound Sterling - £ Alt + 0165 – Japanese Yen - ¥ Alt + 0128 – Euro - € Use the Dollar and the Rs. Symbol from the keyboard

To create a foreign currency 1. Go to Gateway of Tally > Accounts Info. > Currencies > Create

2.

Enter the currency symbol in Symbol. This symbol appears in your reports wherever applicable.

3.

Enter the name of the currency in Formal Name.

A formal name is required to distinguish different currencies with the same symbols. For e.g. you have created two companies (ABC and PQR) in Tally. ABC and PQR have different set of currencies. ABC uses symbol $ for Australian Dollars and PQR uses the symbol $ for U.S. Dollars. The formal name distinguishes

two different currencies with the same symbol when you compare accounts of two companies. The company that is loaded first retains the original symbol for display purposes. The other company's currency symbol will be prefixed with the first letter/first few letters (to make it unique) of the formal name. Here, if ABC is loaded first then the symbol $ is for Australian Dollars and in PQR (loaded next) the symbol $ is prefixed with the letter U (first letter of its formal name). e.g., US Dollars, Pound Sterling, Indian Rupees, Omani Rial, etc.

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4. Enter the number of decimal places for the currency in Number of Decimal Places. E.g. Currencies with 2 decimal places like paisa and currencies with three decimal places like dinar. There are currencies that do not have decimal places, e.g., Vietnamese Dong.

Note:

You

cannot

assign

a

duplicate

Formal

Name

for

a

company

in

Tally.

UNREGISTEREDtwo formats for displayingTO amount, viz., in millions and in lakhs. 1000000 (one followed 5. Tally has VERSION OF CHM an PDF CONVERTER PRO BY THETA-SOFTWARE
zeroes) in millions format would appear as 1,000,000 and lakhs would appear as 10,00,000.

by six

Selecting No means you want amounts to appear in lakhs. N o t e: You can always specify the Loss Account display, press [F12]: 6. appearance Configure of to numbers in specific reports, e.g. In change scale factors for values. Profit &

Set Is Symbol SUFFIXED to Amounts? to Yes for the symbol to appear after the amount. Set to No for the symbol to be prefixed to the amount. Set Put a SPACE between Amounts and symbol? to Yes to apply a space between amounts and symbol. Enter the symbol for decimal portion of currency in Symbol for Decimal Portion of Amount. E.g. Ps. for Paisa. Enter the number of decimal places for printing the amounts in words in Decimal Places for Printing Amounts in Words. This number should be equal to or lesser than the number specified in Number of Decimal Places field.

7. 8. 9.

N o t e : The C u r r e n c y Language created.

cannot

be

translated

or

transliterated

but

will

appear

in

the

Alter Currency

You can modify or delete a currency master using the Alter option. Rates of Exchange can also be altered from here. To alter a currency master: 1. 2. 3. Go to Gateway of Tally > Accounts Info. > Currencies > Alter Select a C urrency from the Currencies list (displayed if there is more than 1 currency) In the Currency Alteration screen alter details as required. For details see Creating a Currency Master

Displaying a Currency
The Currency Display screen displays the details and rates of exchange for a selected currency. To display the Currency screen: 1. Go to Gateway of Tally > Accounts Info. > Currencies > Display 2. Select a C urrency from Currencies list (displayed if there is more than 1 currency) 3. Enter to view the details

Deleting a Currency

1.

To delete a Currency: 1. 2. 3. Go to Gateway of Tally > Accounts Info. > Currencies > Alter Select a currency from the Currencies list (displayed if there is more than 1 currency) Press Alt + D in the Currency Alteration screen to delete

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Note : You cannot delete a Currency that has been used in a voucher transaction.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Rates of Exchange

Rates of Exchange is a feature wherein you can enter the rate of foreign currency for a specific date. Foreign exchange variations occur every day with different selling and buying rates. Rates of Exchange helps you apply the rate for the given date in your transactions.

To open Rates of Exchange : 1. 2. 3. 4. 5. 6. 7. Go to Gateway of Tally > Accounts Info. > Currencies > Rates of Exchange The Multi-Currency Alteration screen is displayed Enter the date for which the exchange rate is applicable Enter the Standard Rate (optional) which is used to calculate variances from the actual transaction rates Enter the Selling Rate (your selling rate) Enter the Buying Rate (your buying rate) Accept to Save

N

ote

:

Last

Voucher

Rate

is

displayed

if

any

voucher

has

been

entered

earlier.

S elling Rate – Specified Rate
Selling rate is your selling rate (as opposed to bank's selling rate) used for receipt voucher entry where you receive foreign exchange.

This is the rate obtained from the daily newspaper or your banker. If you input this rate before any transaction entry, while entering a foreign exchange transaction, this rate will be brought up by default. (You can still change the actual rate). The actual rate at which the currency was last used is displayed and cannot be changed. The specified rate is used for calculating foreign exchange variances only in case there is no standard rate.

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Buying Rate is your buying rate (as opposed to bank's buying rate) used in payment vouchers. The actual rate at which the currency was last used is displayed and cannot be changed. The specified rate is used for calculating foreign exchange variances only in case there is no standard rate.

Buying Rate – Specified Rate

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N ote: Tally the standard calculates Gain or Loss rates, specified rates in foreign and actual exchange transaction transactions rates. automatically

using

Inventory Information

The Inventory Info menu lists the masters, through which you can provide Tally the details of your company’s inventory. Go to Gateway of Tally > Inventory Info. N o t e: The Inventory Maintain Accounts Creation screen. Info with menu is displayed in Gateway of Tally, only if you select Inventory from the Type of Company list in the C o m p a n y

Configuring F12:Configure and Setting F11: Features

You can organise the type of information and the level of details that you require, using F12: Configure and F11: Features. You can enable the desired settings. Tally allows you to alter most of the settings at any point of time.

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F12: Configure
To configure the settings for Inventory Masters Go to Gateway of Tally > F12: Configure > Accts/Inv Info.

UNREGISTERED pertaining to OF CHM Masters areCONVERTER PRO If you reset them to Yes, the The settings VERSION Inventory TO PDF set to No, by default. BY THETA-SOFTWARE

features would become available. Typically, they are additional fields that appear during Masters creation which enable you to obtain more information and detailed analyses. Refer Accts/Inv Info Configuration for more details.

F11: Features
There are various settings available under Inventory Features, which determine the information to be entered during transaction entries. Refer Activate Company Features for more details.

Stock Groups

Stock Groups in Inventory are similar to Groups in Accounting Masters. They are helpful in the classification of Stock Items. Classification is based on some common behaviour. Stock Groups enable easy identification and reporting of Stock Items in statements. You can group Stock Items under different Stock Groups to reflect their classification based on some common functionality. Grouping enables you to locate Stock Items easily and report their details in statements. You can group the items of a particular brand to extract stock of all items of that brand. Consider that the Stock Items in your inventory are Sony 3.5" disks, Maxell 3.5" disks, Sony tapes, Maxell tapes, and so on. Create Stock Groups, Sony and Maxell, and classify Sony products under the group Sony and Maxell products under Maxell. You now have ready details of all Sony and Maxell products, duly classified. Create sub-groups under Stock Groups for deeper analysis. Go to Gateway of Tally > Inventory Info. > Stock Groups More: Creating a Stock Group Creating Multiple Stock Groups Displaying or Altering a Stock Groups

Creating a Stock Group

Go to Gateway of Tally > Inventory Info. > Stock Groups > Create (under Single Stock Group)

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The Stock Group Creation screen displays.

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A brief description on each of the fields in the Stock Group Creation screen follows.

Name
Enter the name of the Stock Group to be created. For example, Building Materials.

Under
Specify whether it is a primary group or a sub-group of another group, by selecting from the list. For example, Primary. Press Alt + C to create a parent group, if you do not have it in the list.

Can quantities of items be ADDED?
This field pertains to information on measuring the units of the Stock Items that you would categorise under the Stock Group. The Stock Items categorised under the group should have similar units for them to be added up. You cannot add quantities in Kgs to quantities in Pcs. N o t e : You can always items in the group. go back and reset this option after assessing the units of the

Buttons in single mode stock group creation
From the Stock Group Creation screen, you can create any of the Masters listed below with a single click.

Category

Items

Units

Godown

Vch Types

The buttons. F e a t u r e s.

C u r r e n c y and B u d g e t, a r e

available

only

if

you

opted

for

the

same

in

F11:

Creating Multiple Stock Groups

Go to Gateway of Tally > Inventory Info. > Stock Groups > Create (under Multiple Stock Groups )

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Select the parent group under which you want the new groups to be created from the List of Groups . The group selected is displayed in the Under Group field. A brief description on each of the fields in the Multi Stock Group Creation screen follows.

Name of Stock Group
Enter the name of the Stock Group.

Under
If you select any group other than All Items in the Under Group field, then this column is filled in automatically with the selected Group name and the cursor skips this column. This speeds up data entry. If you select All Items in the Under Group field, the cursor does not skip this field and allows you to enter the parent group of each of them.

Items are Addable? (Y/N)
This pertains to information on the Stock Items that you would create under this Stock Group. The Stock Items created under the group should have similar units to be 'addable'.

Buttons specific to Multi Stock Group Creation screen
F4:Parent
To change the parent entered in the field Under Group when you have sub-groups created under it. The change affects all the sub-groups created under the parent, meaning, they would now belong to the new parent.

F8:Skip Details
If Items are addable is to remain the default, that is, remain the same as specified for the parent Stock Group, use this button. The cursor skips that column which speeds up data entry.

From the Multi Stock Group Creation screen, you can create any of the Masters listed below with a single click.

C ategory

I tems

Go down

More: Displaying and Altering Stock Groups

Displaying and Altering Stock Groups

You can display and alter Stock Group in Single mode and Multiple mode.

Displaying Single Stock Group UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Go to Gateway of Tally > Inventory Info. > Stock Groups > Display (under Single Stock Group) Select the Stock Group whose particulars you want to display from the List of Groups. The Stock Group Display screen is displayed. This gives information only on the Stock Group Master and not on any of the balances.

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Altering Single Stock Group
Go to Gateway of Tally > Inventory Info. > Stock Groups > Alter (under Single Stock Group)

Select the Stock Group from the List of Groups. The Stock Group Alteration screen displays. Make the necessary changes and accept Yes to save. You can delete a Stock Group only from the Stock Group Alteration screen. Select a stock group from the list and press ALT+D to delete it. N o t e : You cannot delete a Stock under it. You need to first delete Group. Group if the sub it has any sub groups groups and Stock Items or to Stock Items created delete the Stock

Displaying Multiple Stock Groups
Go to Gateway of Tally > Inventory Info. > Stock Groups > Display (under Multiple Stock Groups) Select the Stock Group from the List of Groups. The Multi Stock Group Display screen displays. It displays the entire sub groups of the selected Group. If you select All Items from the List of Groups, all the groups and sub Groups created are displayed.

Altering Multiple Stock Groups
Go to Gateway of Tally > Inventory Info. > Stock Groups > Alter (under Multiple Stock Groups) The Multi Stock Group Alteration screen displays. Make the necessary changes and accept Yes to save. Note: You cannot delete a Stock Group from multiple mode.

Stock Categories

The concept of Stock Categories is similar to that of Cost Categories. Refer the section on Cost Categories to understand the similarity/differences. N o t e : This option Maintain Stock becomes available in the Categories to Y e s in F11: Inventory Info. Features. menu only if you Se t

Stock Categories offers a parallel classification of Stock Items. You can create Stock Categories like Floppy Disks and Floppy Drives. Consider the example given in the Stock Groups. You would know how many 3.5" floppies of Sony and Maxell are in stock. To know the total stock of floppy disks or any alternative item that could be used, Stock Categories would be the best option to use. Create a Stock Category called Floppy Disks and classify both Sony 3.5" diskettes as well as Maxell 3.5" diskettes under the same. Since the items are substitutes of each other, if one is out of stock, you can offer the other of the same category. Stock Query option available under Statements of Inventory (Gateway of Tally > Display) reveals the strength of Stock Categories. Note: features While configuring F12: that you do not need. Configure and setting F11: Features do not enable

Go to Gateway of Tally > Inventory Info > Stock Categories Note: Cost More: Creating a Stock Category Creating Multiple Stock Categories Display or Alter a Stock Category This option is displayed in Categories to Y e s in F11: the Inventory Features. Info. menu only if you set M a i n t a i n

Creating a Stock Category

You can create Stock Categories and sub categories of Stock Categories to organise your information.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
The Stock Category Creation screen displays.

Gateway of Tally > Inventory Info. > Stock Categories > Create (under Single Stock Category)

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

A brief description on each of the fields in the Stock Category Creation screen follows.

Name
Enter the name of the Stock Category. Eg: Tablets.

Under
Specify whether it is a primary category or a sub-category of another category. Select Primary from the list, if you do not have a parent group. Use ALT + C to create a parent if you do not have the required category in the list.

Buttons in single mode stock category creation

Groups

Items

Godown

Budget

Vch Types

Units

Currency

From the Stock Categories Creation screen, you can create any of the Masters listed above with a single click. Note: The features in buttons F11: for Currency Features. and Budget, only if you have enabled the respective

Displaying and Altering Stock Categories

Creating Multiple Stock Categories

Go to Gateway of Tally > Inventory Info. > Stock Categories > Create (under Single Stock Category )

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

A brief description on each of the fields in the Multi Stock Category Creation screen follows.

Under Category
Select the parent category under which you want the new categories to be created. If you select any category other than All Items , all the new categories being created will be created under the selected category. The column Under is filled in automatically with the selected category and the cursor skips this column, which in turn speeds up data entry. Selecting All Items gives you the flexibility of specifying the parent of each new category created.

S No.
The serial number of the stock category is auto generated.

Name of the category
Specify the name of the Stock Category.

Under
If you have selected All Items in Under Category , you must specify a parent category in this column.

Buttons specific to Multi Stock Category screen
F4:Parent
To change the parent entered in the field Under Category when you have sub-categories created under it. The change affects all the sub-categories created under the parent, meaning they would now belong to the new parent.

F8:Skip Details
If the field Under is to remain the same as specified for the parent Stock Category, use this button. The cursor will skip that column, which speeds up data entry.

From the Multi Stock Category Creation screen, you can create any of the Masters listed below with a single click.

G roups

I tems

Go down

More: Displaying and Altering Stock Categories

Displaying and Altering Stock Categories

You can display and alter Stock categories from Single and Multiple mode.

Displaying Single Stock Category UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Go to Gateway of Tally > Inventory Info. > Stock Categories > Display (under Single Stock Group) Select the Category for which you want to view the display details from the List of Categories.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Altering Single Stock Category

The Stock Category Display screen displays for you to view the details entered in Stock Category Master.

Go to Gateway of Tally > Inventory Info. > Stock Categories > Alter (under Single Stock Category) Select the Category for which you want to alter from the List of Categories. The Stock Category Alteration screen displays. Make the necessary changes and accept Yes to save.

Deleting a Stock Category
You can delete a Stock Category only if it does not have any sub categories or Stock Items under it. Select a Stock Category from the list and press ALT + D to delete it.

Displaying Multiple Stock Categories
Go to Gateway of Tally > Inventory Info. > Stock categories > Display (under Multiple Stock Categories) Select the Category for which you want to view the details or select All Items to view the details of all the Categories created, from the List of Categories. The Multi Stock Category screen displays. You can view the entire details of the Category and that of sub categories if any, in this screen.

Altering Multiple Stock Categories
Go to Gateway of Tally > Inventory Info. > Stock Categories > Alter (under Multiple Stock Categories) Select the Category for which you want to alter from the List of Categories. The Multi Stock Category Alteration screen displays. You can make changes in the Masters of the selected Category and also of the sub categories. Select All Item to make changes in any desired Category Masters as all the Categories created are displayed in this screen. Note: You cannot delete a Stock Category from multiple mode.

Delete a Stock Category
You can delete a stock category only if it does not have any children under it. The children could be stock category or stock item or both.

Gateway of Tally > Inventory Info > Stock Categories > Single Alter Press [ALT]+[D] to delete the stock category Note: You cannot delete a stock category from multiple mode.

Stock Items

Stock Item refers to goods that you manufacture or trade. It is the primary inventory entity and the lowest level of information on your inventory. You have to create a Stock Item in Tally for each inventory item that you want to account for. In other words, you have to create a stock ledger account for each item and Tally calls it Stock Item. UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Go to Gateway of Tally > Inventory Info. > Stock Items More: Creating a Stock Item

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Creating Multiple Stock Items Creating a Stock Item - Advanced Usage Displaying and Altering Stock Items

Creating a Stock Item

If you are creating Stock Items for the first time, it is advisable to configure the F12: Configure screen before creating any items. You may configure your groups to enable/disable advanced mode. Click here for details on Creating Stock Items in Advanced Mode. Go to Gateway of Tally > Inventory Info > Stock Item > Single Create (under Single Stock Item)

A brief description on each of the fields in the Stock Category Creation screen follows

Name
Specify the name of the Stock Item.

Under
Select the group from the List of Groups. If you do not want to categorise it under any particular group that you created, choose Primary. Press Alt + C to create a parent Group from this field.

Units
Give the unit of measurement of the item in this field. You would normally use this unit for trading this item. Use Alt + C to create a new unit, if you do not have one in the list. Refer the section on Units for an explanation

on how to create and alter units of measurement.

Opening Balance
If you already have stock of this item at the time of creating its account in Tally, specify its balance particulars, i.e., quantity, rate and value.

Buttons in single mode stock item creation

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE F3:Companies
To switch to another loaded company to create Stock Item.

Groups

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Category

Godown

Budget

Vch Types

Units

Currency

You may choose to create any of the masters listed above with a single click of the buttons. Note: The buttons the same in F11: More: Displaying and Altering Stock Item Category, Currency Features. and Budget are available, only if you opted for

Creating Multiple Stock Items

You can create multiple Stock Items at a time using this option. Go to Gateway of Tally > Inventory Info > Stock Items > Multi Create (under Multiple Stock Items )

Under Group
Select the parent group under which you want the new items to be created. If you select any category other than All Items, then all the new items being created, will be created under this Group. Selecting All Items gives you the flexibility of specifying the parent of each new item created.

S No.
The serial number is auto generated.

Name of Item
Specify the name of the stock item. For example, HP Laserjet

Under
If you select All Items in Under Group field, you must specify a parent group here. Use Alt + C to create a new parent from this field. If you select a Group in Under Group field, that group displays automatically in this column.

Opening Balance
If you already have stock of this item at the time of creating its account in Tally, specify the balance particulars, i.e., quantity, rate and value.

Buttons in Multi Stock Item Creation screen

F4:Parent
To change the parent entered in the field Under Group when you have items categorised under it. The change affects all the items created under the parent, meaning they would now belong to the new parent.

F8:Skip Details
To avoid the cursor entering the field Opening Qty , use this button. It toggles with Edit Details , which allows you to enter the opening details.

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F9:Skip Category
Use this button to avoid the cursor entering the Category field. It toggles with Edit Category , which allows entry of Category details.

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G roups

From the Multi Stock Item Creation screen, choosing to create any of the masters listed below is just a single click

C ategory (if activated)

G o down

More: Creating a Stock Item - Advanced Usage Displaying and Altering Stock Items

Creating a Stock Item - Advanced Usage

This section assumes that you have configured all advanced features of the inventory in F12: Configure and enabled advanced F11: Features . It deals with the additional fields that you would require while creating a Stock Item. N o t e : Use F12: Configure and F11: Features entire setup according to your preferences. to add/remove fields and configure the

Go to Gateway of Tally > Inventory Info > Stock Items > Create (under Single Stock Item )

A brief description on each of the additional fields in Stock Item Creation screen follows.

Name
Specify the name of the Stock Item.

Alias
You can give aliases for the part number. There may be situations where, the manufacturer specifies his Part No., but you understand it better by its Bin Card number allotted to it.

Part No. This is optional. Enter the Part No. of the item being created, for easy identification. (In certain industries, (e.g. Automobiles), various parts are better identified by their part numbers). You can alternatively use this field for Bin Card No., Code No., etc. Description
Enter the description of the Stock Item that would appear in your invoices. This is optional. UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Remarks
Remarks help to identify the product and its applications. You can give some particulars of the Stock Item created. When you post a query for the stock of this item, remarks help to decide if the item is suitable for a particular requirement.

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Set /Modify Default Ledgers for Invoicing

You can define the default ledger (usually the sales account), during alteration or creation of a Stock Item that will automatically be credited when you invoice the item.

Under
Select the group from the List of Groups . If you do not want to categorize it under any particular group that you created, choose Primary . Press Alt + C to create a parent Group from this field.

Units
Give the unit of measurement of the item here. The item would be traded using this unit of measurement.

Alternate Units
This is another unit, apart from the main unit, which you can use for the Stock Item. This is particularly useful when you need to handle different units at different times. For example, you buy Data Cables in pieces but sell in packets of 5 pieces each. For alternate units, you are asked to give a conversion factor (e.g. 5) so that a link is maintained between the two. What you give here is simply a conversion factor that comes up as default during voucher entry. You may specify a different factor during voucher entry.

Maintain in Batches?
Set this option to Yes if you want to maintain the batch information of Stock Items. The batch does not destroy itself after it is disposed; it remains on records and is quite like a Ledger in behavior. For example, Stock Item – Cloth, Batches – red, white, and blue. You can extract all sales of blue cloth at any given point of time.

Use Components BoM?
This has been dealt with in Bill of Materials section under Voucher Entry. It is however pertinent to mention here that BoM should be used only for items that have sub-assemblies or are manufactured.

Set Standard Rates?
Set this to Yes , if you want to specify standard purchase and sales rates for the item. Standard rates enable the valuation of inventory at standard purchase or standard sales price. Moreover, these prices come up by default during voucher entry (you may choose to override them if required). The standards are effective from the

specified dates and they continue to be used at these rates until the next date, where the standard rate changes.

In the screen that appears above set the Standard Cost/Standard Selling Price against the date in the Applicable From column respectively.

Rate column and the

Suppose you value your inventory based on standard cost or the market valuation based on standard price. For valuation on any date between the specified date, only the rate specified against Applicable From column is considered. This rate will be brought up by default during voucher entry on any day during this period. Use the Standard Selling Price as simple pricelist.

Tax Information
Rate of Duty
Rate of VAT/Duty (Sales Tax/ Duty) (e.g. 17.5 or 5) Give the rate of tax applicable for the item. The rate specified here would be picked up when invoicing, if you selected the method of calculation as Tax Based on Item Rate for your relevant accounting ledger account. Typically, this accounting ledger account would be 'VAT Account' under the Group Duties & Taxes . In such cases, the VAT or duty in invoice entry will be automatically calculated. Specify the rate of duty.

Behaviour
Costing Method
Select the method of valuation for the inventory. Tally provides you with different valuation methods for different items, from which you can select the appropriate one. You may, of course, choose to use the market valuation

method to value the inventory. It would be interesting to know the value of your stock, both on cost as well as sale basis. The different costing methods are:

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At Zero Cost Tally considers at Zero Cost Valuation for this particular item for all sales. Avg. Cost (Price) Tally recalculates the value after each purchase or sale. FIFO (First In First Out) Tally assumes the sale of the oldest goods first. Last Purchase Cost / Sale Price The stock is valued at the latest price. LIFO Annual (Last In First Out Annual) Tally assumes the sale of the newest goods, first taking into account the current financial year. LIFO Perpetual (Last In First Out Perpetual) This works like LIFO Annual except that the last purchase starts from the previous financial year. Monthly Avg. Cost Tally calculates the average price based on the purchase of item in that particular month. Std. Cost / Price

A pre-determined value which you entered.

Market Valuation Methods
There are four market valuation methods, At Zero Price, Avg. Price, Last Sale Price, Std. Price. Select whichever is applicable from the Valuation Methods list.

Ignore Diff. due to Physical Counting?
In Tally, you can record the physical stock as counted, using a physical stock voucher. There is, usually, a difference between physically counted stock and the one appearing in the records. If you wish to ignore the difference and continue with the stock as per books, set this option to Yes. It is, however, advisable not to ignore the difference and let Tally consider stocks as per physical count for subsequent transactions.

Ignore Negative Balances (Y/N)?
If you set this to Yes , Tally ignores the item in the stock reports, in case it has a negative balance.

Treat all Sales as New Manufacture?
Set this to Yes , if you want to avoid the need of passing entries for manufacture of goods and have them automatically done when goods are sold. This way, you also avoid negative balances in the stock records. It is particularly useful for smaller manufacturing companies that make things but do not want the problem of receipting stocks.

Treat all Purchases as Consumed?
This is quite the reverse of the previous option. If you set this to Yes, issues are automatically raised for all goods purchased. This is particularly useful in case of consumables. The book stock of this item would always be nil.

Treat all Rejections inward as Scrap?
Set this to Yes , if you do not want to take the rejected goods back into stock. Otherwise, rejected goods, though recorded separately through a Rejection Note, would be taken back into stock.

Displaying and Altering Stock Items

You can display and alter Stock Items in Single mode and Multiple mode.

Displaying a Single Stock Item UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Go to Gateway of Tally > Inventory Info. > Stock Items > Display (under Single Stock Item) Select the name of the Stock Item from the List of Items. The Stock Item Display screen displays. You cannot make any changes in this screen.

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Displaying Multiple Stock Items
Go to Gateway of Tally > Inventory Info > Stock Items > Display (under Multiple Stock Items) Select a Group from the List of Groups to display all the Stock Items under the selected Group, or select All Items to display all the Stock Items, as the case may be. The Multi Stock Item Display screen displays, listing the Stock Items and the corresponding details of the Stock Items.

Altering a Single Stock Item
Go to Gateway of Tally > Inventory Info > Stock Items > Alter (under Single Stock Item) Select the Stock Item you want to alter from the List of Items. The Stock Item Alteration screen displays. Make the necessary changes and accept Yes to save. You can delete a Stock Item only if you have not used it in any transaction entry. Press ALT + D from the Stock Item Alteration screen to delete the Stock Item.

Altering Multiple Stock Items
Go to Gateway of Tally > Inventory Info > Stock Items > Alter (under Single Stock Item) Select a Group to alter the Stock Item under the selected group. The Multi Stock Item Alteration screen displays. Make the necessary changes and accept Yes to save. N ote: You cannot delete a Stock Item from multiple mode.

Reorder Levels

Reorder Level signifies the quantity of a Stock Item in hand, after reaching which you must place orders for your supplies. The importance of Reorder Level arises from the desire to have sufficient stocks to service customer orders and, at the same time, not to unnecessarily accumulate stock. Therefore, the points to be considered while deciding the reorder levels are as follows.

The lead-time for suppliers to deliver the stock.

The delivery time specified by the customer.

The stock-in-hand to satisfy orders in the meantime.

In simple mode, Tally accepts the quantities that you specify. In advanced mode, it considers the past consumption patterns to suggest reorder levels. You can however, choose to define your own reorder levels. You may also specify the minimum quantity of the item to be ordered, either in simple or advanced mode. The purpose of specifying reorder levels is to obtain a report that indicates the quantity of a Stock Item that you must order. More: Specifying Reorder Levels Alter Reorder Levels and minimum quantities Obtain Reorder Status and Quantities to order

Specifying Reorder Levels

Go to Gateway of Tally > Inventory Info > Reorder Levels

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Select a group of Stock Items from the List of Groups , to specify Reorder Levels for the Stock Items in the

For each item in stock, you can define a Reorder Level and the Minimum Order Quantity. If you click Simple R eorder button, the consumption alternatives will not be available and hence you have to input the quantities. N o t e : The option Purchase Order Reorder Levels is displayed in Processing is enabled in F11: the Inventory Features . Info. menu only if A l l o w

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The Reorder level screen appears as follows:

The options that you have while defining Reorder Level and Minimum Order Quantity for individual stock items are

as follows.

Reorder Level/Quantity
Enter the level/quantity in this field.

Advance Parameter for Reorder Level (Consumption for the Last)
This field lets Tally calculate the reorder level/order quantity based on the total consumption in the past for a chosen period.

Period
The choices for periods are: Days, Weeks, Months and Years. Note that it is not the average consumption for the period but the total consumption. Enter zero (0), if you do not want Tally to calculate the reorder level based on the consumption of the item in the past.

Criteria
Choose whether you want the higher/lower of the two, i.e., input/calculated level/quantity.

Rounding Method
Specify whether the calculated level/quantity must be rounded and also the method of rounding.

Minimum order quantity
You can specify the minimum order quantity required.

Altering Reorder Levels and Minimum Quantities

There are two ways of altering the Reorder Levels and the Minimum Order Quantities defined earlier. 1. Go to VERSION OF > Inventory Info > Reorder Levels UNREGISTEREDGateway of Tally CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Select the Group of the Stock Items from the List of Groups to display the Specify Reorder Levels screen. Make the necessary changes and accept Yes to save. OR

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2. Go to Gateway of Tally > Display > Statements of Inventory > Reorder Status

Select the Group of the Stock Items for which you want to make changes to display the Inventory Reorder Status screen. Drill down the fields Reorder Level/Minimum Order Quantity to display the Specify Reorder Levels screen. Make the necessary changes and accept Yes to save.

Obtain Reorder Status and Quantities to Order

G o to Gateway of Tally > Display > Statements of Inventory > Reorder Status Select a Group of Stock Items from the List of Groups. The Inventory Reorder Status screen displays.

This report gives you the reorder status of Stock Items categorised under the selected Group. Click the button A : Reorder On l y to remove those items for which there are no orders to be placed. Apart from identifying the quantity to be ordered, you can move your cursor on the fields and drill down for more information.

Name of Item
Press Enter on this field for information on suppliers of this Stock Item and the details of their previous supplies.

Closing Stock
Drill down for Item Monthly Summary (Inwards and Outwards) and other details.

Purc Orders Pending
Press Enter on this field for details on the pending purchase orders.

Sales Orders Due

Drill down to know the details on the sales orders, which are due, in other words, free stock available for sale.

Reorder Level
Drill down by pressing [Enter] to display the Reorder Level Specification screen for the Stock Item.

Short fall
Tally calculates this value. UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Min Reorder Quantity
Drill down by pressing [Enter] to display the Reorder Level Specification screen for the Stock Item.

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Locations/Godowns

Locations/Godowns are places where Stock Items are stored. You can specify names where Stock Items are stored such as warehouse, shelf, and so on. In a business, it always becomes necessary to distinguish between the stock held onsite and in the warehouse. You can do this by creating two separate godowns. Tally had a default Godown named Main Location. You may even alter Tally's default godown and create a new one. Tally permits creating any number of godowns, which you can group and subgroup to match the structure you need. Go to Gateway of Tally > Inventory Info. > Locations/Godowns N o t e 1 : The term Locations is displayed in the Inventory selected in Use Accounting Terminology of in Gateway screen. If I n d i a / S A A R C is selected, the term G o d o w n s N o t e 2 : You can enabled in F11: More: Creating Locations/Godowns Displaying and Altering Stock Locations/Godowns Info. menu if I n t e r n a t i o n a l is of Tally > F12:Configure displays. Multiple Godowns is

create L o c a t i o n s / G o d o w n s only if Maintain Features.

Creating Locations/Godowns

You can create Locations/Godowns in Single mode and Multiple mode

Creating a Single Location/Godown UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
G o to Gateway of Tally > Inventory Info. > Locations/Godowns > Create (under Single Godown ) The Location/Godown Creation screen displays:

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A brief explanation on each of the fields in Location/Godown Creation screen follows.

Name
Specify the name of the Location/Godown.

Alias
Enter an alias name for the Location/Godown name, if required.

Under
Specify the Location/Godown under which the Location/Godown is to be categorised. Use Alt + C to create the parent Location/Godown if it is not in the list. Select Primary , if it is not a sub Location/Godown of any Location/Godown.

Allow Storage of Materials
Tally permits you to create a Location/Godown, where you may not store materials but treat it as a virtual Location/Godown. Virtual Location/Godown is useful in cases like Head Office, which may have many different stock points under it that store materials. Hence, Head Office acts like a primary Godown. For instance, designate London as a virtual Godown with Wimbledon Warehouse, Harrow Warehouse and Brixton Warehouse as subGodowns. These sub-Godowns will allow storage of materials.

Creating Multiple Locations/Godowns
G o to Gateway of Tally > Inventory Info. > Locations/Godowns > Create (under Multiple Godowns )

The Multi Godown Creation screen displays:

Under
Select the parent group under which you want the new Godowns to be created. If you select any Godown other than All Items , then all the new Godowns being created, will be created under this Godown. Selecting All Items gives you the flexibility of specifying the parent of each new Godown created.

S No.
The serial number is auto generated.

Name
Specify the name of the Godown.

Under
If you select All Items in Under field at the top, you must specify a parent Godown here. Use Alt + C to create a new parent from this field. If you select a Godown in Under field, that Godown displays automatically in this column.

Displaying and Altering Stock Locations

You can display/alter the Godowns in single and multiple modes. It is similar to Displaying/Altering Stock Groups in single and multiple modes. Refer Displaying/Altering Stock Groups for more details.

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To display a single stock Location/Godown
Go to Gateway of Location/Godown) Tally > Inventory Info. > Locations/Godowns > Display (under Single

To display VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE UNREGISTEREDmultiple stock Locations/Godowns at a time
Go to Gateway of Tally > Inventory Info. > Locations/Godowns > Display (under Multiple Locations/Godowns)

To alter a single stock Location/Godown
Go to Gateway of Location/Godown) Tally > Inventory Info. > Locations/Godowns > Alter (under Single

To alter multiple stock Locations/Godowns at a time
Go to Gateway of Tally Locations/Godowns) > Inventory Info. > Locations/Godowns > Alter (under Multiple

You can delete a stock location via Single Location Alter by pressing [Alt]+[D]. However, you cannot delete a stock location with sub-locations. The lower levels must be deleted first.

Voucher Types

Refer the section on Voucher Types in Accounting Information because the voucher types available in inventory are similar to the ones in accounting. You may alter the existing inventory voucher types or create new ones based on the existing ones. Go to Gateway of Tally > Inventory Info. > Voucher Types > Create/Display/Alter Note: Refer You can use the Stock the chapter on Bill of Journal voucher type to create Materials for more details. a Manufacturing Journal.

Units of Measure

Stock Items are purchased or sold on the basis of quantity. The quantity is measured by Units. Hence, it is necessary to create Units of Measure. You need to create Units of Measure for all the Stock Items. You can have simple units such as numbers, meters, kilograms, and pieces or compound units like box, where, say, one box equals ten pieces. UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Go to Gateway of Tally > Inventory Info. > Units of Measure

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More: Creating a Unit of Measure Compound Units

Creating a Unit of Measure

Go to Gateway of Tally > Inventory Info > Units of Measure > Create The Unit Creation screen displays.

A brief explanation on each of the fields in Unit Creation screen follows.

Type
Symbols are of two types: Simple and Compound. Simple units are considered as specified by you; Tally just checks for duplication. Tally defaults to Simple, and if you want to change to Compound, use [Backspace] to go back and select Compound from the Types of Units list.

Symbol
Define the symbol of the unit, e.g., Nos. This symbol is used in all displays and printouts.

Formal Name
Specify the formal name of the symbol, e.g. Numbers. This explains the symbol, which is also used during the consolidation of data of different companies, where the symbols might be the same but are assigned to different units. The formal name will be used to match them.

Number of decimal places
If you want to use the unit in fractions, say for a kilogram you may have to use grams as well, specify the number of decimal places. For kilograms, you would give three decimal places to accommodate up to 999 grams. You do not normally want a decimal place for units like numbers; you can specify 0 in such cases. N o t e : You can specify 0 to 4 decimal places. The Unit of Measure or transliterated but will appear in the Language created. cannot be translated

Compound Units

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N o t e : Use the U p arrow or C o m p o u n d from the popup Backspace menu. key to highlight the Type field. Select

A Compound Unit is a relation between two Simple Units. Hence, before you create a Compound Unit, ensure that you have already created two Simple Units. For example, there are two Simple Units Nos (Numbers) and Doz (Dozen). Now define the relation between Nos and Doz, as one dozen equals twelve numbers.

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Select Compound from the Types of Units in the Type field. Select Doz in the First Unit from the Units list. Enter 12 in the Conversion field and select Nos in the Second Unit field. Accept Yes to save. More: Displaying and Altering Units of Measure

Displaying and Altering Units of Measure

To display Units of Measure, Go to Gateway of Tally > Inventory Info. > Units of Measure > Display Select the Unit of Measure you would like to view from the Units list. You can select a compound unit or a simple unit from the list. The Unit Display screen displays. In display mode it is not possible to make any changes. To alter Units of Measure Go to Gateway of Tally > Inventory Info. > Units of Measure > Alter Select the Unit of Measure you want to alter from the necessary changes and accept Yes to save. Units list. The Unit Alteration screen displays. Make the

You can delete a Unit of Measure from this screen by pressing Alt + D. However, you cannot delete a Unit of Measure that is part of a compound measure. You must delete the compound measure first.

Price List

Price Lists are useful for orders and invoices. An up-to-date price list helps in decision-making even at the lower levels of the organisation and quickens the sales process. Tally assists in creating quantity based pricing with complex discount structure. Price Lists are available only for inventory items and hence the feature is available only if inventory and invoicing CHM TO for the company. UNREGISTERED VERSION OFare activatedPDF CONVERTER PRO BY THETA-SOFTWARE You can have one or more price lists. You require more than one price list, when you have different price structures/levels for different purposes, usually, different groups of customers requiring different discounts or dealing in different products.

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Price Levels

In Tally, you can assign specific price lists called Price Levels to customers, so that only the relevant prices are used during entry of orders and invoices. Before you begin to create Price Lists, you should decide whether you want different price levels. You might want different price levels for various purposes, such as different types of customers like wholesale customers, retail customers, export customers and so on. Each customer type could have a different discount structure.

Creating Price Levels

Ensure that you have set the company for Accounts with Inventory.

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1. 2. Allow Invoicing (If you do not set this field to Yes, the options for Price Lists will not be available.) Set Use Multiple Price Levels to Yes.

Set the following fields to Yes in F11: Features > F2: Inventory screen.

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3.

Type out the price levels, one by one, in the Company Price Levels screen.

4.

Press CTRL+A to accept the screen and return to the Company Operations Alteration screen (F11: Features). Set the other options as required and accept Yes to save.

Alter Price Level names
Follow the same procedure to alter the name of a price level. You can simply overwrite the names you specified previously and save the changes.

Assigning Ledger Accounts to Price Levels

Creating Price Lists in Tally provides an option in party (debtor and creditor) ledger accounts, with the help of which you can assign/tag a specific Price Level to the account. You can assign only one Price Level to an account. You can choose the Price Level that you want to assign to the Ledger by selecting the Price Level from the Price Levels list in the Pricing Level Applicable field. Select Not Applicable if you do not want to assign any Price Levels to the Ledger. If you want to assign Price Levels to ledgers created earlier, alter the ledger account, tab down to Applicable field and select the applicable price level from the list. Pricing Level

Tab down to Pricing Level Applicable and select Export. Set the other options required. Accept Yes to save. The Pricing Level can be changed to reflect the current circumstances. For this, simply alter the ledger account and select a different Pricing Level option.

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Creating and Using Price Lists

The Price List option appears in the Inventory Info. menu only if you have already created Price Levels . Go to Gateway of Tally > Inventory Info > Price List Select a group from the List of Groups .

Under Group
This is the stock group of the Stock Items for which you want to define the Price Lists.

Price Level
Select a Price Level to assign to the Stock Group.

Applicable From
Specify the date from which the Price List is applicable.

The columns you see are as follows.

Sl. No
This column has auto-generated serial numbers to track the number of items in the Price List.

Name of Item
This column VERSION of the Stock Item. You can define the Price List BY THETA-SOFTWARE UNREGISTEREDhas the name OF CHM TO PDF CONVERTER PRO for each item.

Quantities - From & Less Than
These fields are repeated for an item and begin with a blank for 0 items and end with a blank for any number of items. This is useful for quantity based pricing and discounts. You can create a staggered quantity price structure, if required. If you do not require quantity based pricing, leave From and Less Than fields blank.

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Rate & Discount (if any)

For each quantity band, give a specific price or maintain the same price for all bands, but define different discounts. You can use different methods for different items.

Historical Details (Rate and Disc%)
If you have a different Price List on a date before the Applicable From date, Tally displays it here.

Cost Price
In this column, the Cost Price (based on the Costing Method set for it) of the item is displayed to help decide the prices.

Price Levels in Voucher Entry - Invoicing

The price levels that you define automate the invoice pricing and help to avoid errors. You can configure the entry so as to prevent the usage of a different price list than the one that is set. To configure for preventing changes made to the price level settings in a voucher Go to Gateway of Tally > F12: Configure > Invoice/Orders Entry

Set Allow modification of ALL fields during entry to No to prevent changes made to prices. If you set it to Yes , you can override the prices already defined. Consider the following example 1. 2. Go to Gateway of Tally > Accounting Vouchers > F8: Sales Select As Invoice

2.

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During voucher creation, there CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE UNREGISTERED VERSION OF is an additional field Price Level and it is already set for the selected party on the

basis of assignment made earlier (the cursor skips the field). If you had not assigned any Price Level for the ledger earlier, the cursor moves to this field, allowing you to make a choice. On selecting the stock item and the quantity, the price is filled in automatically and the cursor skips the Rate and Amount fields also.

Voucher Entry

A Voucher is a document that contains details of a financial transaction. For every transaction, you can use appropriate Tally Voucher to enter the details into the ledgers and update the financial position of the company. Mainly there are two types of Voucher Entry:

Accounting Vouchers

Inventory Vouchers

You can set the configuration for entry to allow only those features, which you require while entering vouchers. In the Voucher entry configuration, Selectively set only those features to Yes. (This is further explained under advanced usage). Go to Gateway of Tally > F12: Configure > Voucher Entry

More:

The Voucher Creation screen Special keys for voucher narration field

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Voucher Creation Screen

This screen is divided into three parts Main Voucher Entry Area Button Bar Area Calculator Area

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Main Voucher Entry Area
The Main Voucher Entry Area is where you enter all your transactions. This area provides fields for Date, Ledger Name and Amount as well as additional pop-up screens that are dependent on your voucher configuration and the nature of transactions you make.

Button Bar Area
The Button Bar area displays buttons that provide quick interaction with Tally. Buttons that are relevant to the current task are enabled and the other buttons are disabled.

Calculator Area
The Calculator area provides the calculator functions where you can enter any number of mathematical formulae for complex calculations.

Mouse conventions

Command
Click Double-click

Action
Press the left mouse button Press and release the left mouse button twice, without moving the mouse pointer off the item

Choose

Position the mouse pointer on the item and click the left mouse button. Position the mouse pointer on the item and double-click the left mouse button.

Select

Switching between Screen Areas

Press

Use the keys on the keyboard in the combination shown.

Switching between Screen Areas
The Main Voucher Entry Area is the active area by default on the Voucher Creation screen. Press Ctrl+N to navigate to the Calculator Area and press Ctrl+M to toggle back to Main Voucher Entry Area . A green bar highlights the active area of the screen. N o t e : Press A l t + C to use calculator when at amount field.

Special Keys for Voucher Narration Field

ALT+R: Recalls the Last narration saved for the first ledger in the voucher, irrespective of the voucher type.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Checking the accuracy of the vouchers
To check the accuracy of the vouchers that you have entered:

CTRL+R: Recalls the Last narration saved for a specific voucher type, irrespective of the ledger.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
2. Select F2: Period from Button Bar and enter the period for which you want to view Vouchers. N o t e : It particular defaults to period. the current date only but you may display all the transactions for a

1. Go to Gateway of Tally > Display > Day Book

3. Select F1: Detailed You can check the vouchers for correctness. To correct a mistake, position the cursor on the item where you have found the error and press Enter. Tally displays the voucher details for alteration. The alteration facility is subject to security and access rights. All alterations are available for audit.

Types of Vouchers

Tally is pre-programmed with a variety of accounting vouchers, each designed to perform a different job. The standard vouchers are: 1. 2. 3. 4. Payment Voucher Receipt Voucher Contra Voucher Sales voucher

Sales Orders Sales Vouchers/Invoices Delivery Notes Rejection In

5.

Purchase Voucher

Purchase Orders Purchase Vouchers Goods Receipt Notes Rejection Out

6.

Journal Voucher

Credit Notes Debit Notes Journal Memo Voucher Reversing Journal

Stock Journal Physical Stock

You can alter these vouchers to suit your requirement and also create new vouchers. For example, if you wish to distinguish between cash and bank payments you can create vouchers to do this.

UNREGISTERED of each voucher type is explained. CONVERTER PRO BY THETA-SOFTWARE VERSION OF CHM TO PDF The function

More:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Payment Entry (F5) Receipt Entry (F6) Journal Entry (F7) Sales Entry (F8) Sales and Purchase Voucher Entry Unconventional Vouchers Creating Accounting Vouchers in Tally Sales and Purchase Voucher Entry

Contra Entry (F4)

Contra Entry (F4)

According to accounting rules, Contra Entry is a transaction indicating transfer of funds from: Cash account to Bank account Bank account to Cash account Bank account to Bank account

To view the Contra Voucher Entry Screen: 1. Go to Gateway of Tally > Accounting Vouchers 2. Select F4: Contra from the button bar or press F4 More: Contra Entry - Single Entry Mode Contra Entry - Double Entry Mode Note: 1. Use the buttons on the right-hand side of the Tally. 2. Press [Enter] wherever the cursor is placed to

screen know

to the

Explore Depth of

the

Potential

of

Tally!

Contra Entry - Single Entry Mode

Contra Voucher creation screen appears in Single Entry Mode by default. You are prompted to choose the account, which will receive the amount (the ledger that has to be debited).

UNREGISTERED VERSION creation screen in Single Entry mode PRO BY THETA-SOFTWARE To view Contra Voucher OF CHM TO PDF CONVERTER
Go to Gateway of Tally > Accounting Vouchers > Select F4: Contra For example, to transfer funds from Cash Account to Bank Account: 1. Debit VERSION OF UNREGISTEREDthe Bank Account CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE 2. Credit the Cash Account

The entry appears as shown.

The ledger selected in Account State Bank of India is the destination ledger and it is debited Advantages of Single Entry Mode: 1. 2. Faster data entry. Selection of:

Multiple Ledgers (to be credited) with a Single Ledger (to be Debited) OR Multiple Ledgers (to be debited) with a Single Ledger (to be Credited) - depending on the nature of transaction.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Contra Entry - Double Entry Mode

To select multiple Debit and Credit ledgers in the Double entry mode, set Use Single Entry Mode for Payment/Receipt/Contra to No in F12: Configure . Entering in Double Entry Mode 1. 2. Go to Gateway of Tally > Accounting Vouchers Select F4: Contra from the Button Bar or press F4 .

The entry displayed in Single Mode appears as follows in Double entry mode: Here cash is transferred from Cash account to Bank account.

Use F2: Date to change the date of the voucher. If you require Dr/Cr instead of To/By –> as explained in the Configuration section, activate the required feature in F12: Configure .

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

1. 2.

In the above example, we have changed the date to 2nd April 2001 and we have Dr/Cr instead of To/By . As the Contra voucher is active, the Buttons of the other voucher types of Payment, Receipt, Journal, Sales and Purchase are visible.

Payment Entry (F5)

To view the Payment Voucher entry screen: 1. 2. Go to Gateway of Tally > Accounting Vouchers Select F5: Payment from the Button Bar or press F5

By Default, the Payment Entry screen appears in Single Entry Mode (The option Use Single Entry mode for Pymt/Rcpt/Contra is set to Yes in F12: Configure). For example, the company settles expenses of conveyance, staff welfare, postage and stationery through cash all in one voucher. The entry appears as shown below.

You are prompted to choose the cash or bank ledger, which will pay the amount (the credit ledger). More: Payment Entry - Double Mode Payment Entry – Single Narration Payment / Receipt as Contra Warn on Negative Cash Balance UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Cheque Printing How to print Cheques Trouble-shooting Cheque printing

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
TDS Payment

Payment Entry - Double Mode

If you want the payment entries to be entered in double entry mode, then set Use Single Entry Mode for Payment/Receipt/Contra to No in F12: Configure To enter the payment entry in Double Entry Mode, Go to Gateway of Tally > Accounting Vouchers > F5: Payment A Payment entry entered in double entry mode appears as shown,

Advantages of Double Entry Mode You can select any number of ledgers to be debited and credited in the payment voucher. You can view on the screen whether a ledger is debited or credited thus allowing you to cross-verify.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Payment Entry – Single Narration

If you want the narration details for every ledger you debit or credit (Single narration), you can configure Tally's Narration details accordingly. To do so, 1. 2. 3. 4. Go to Gateway of Tally > Accounts Information > Voucher Types > Alter Select the required Voucher Type . Enable the option Narrations for each Entry and accept the details. Return to Accounting Vouchers on Gateway of Tally and enter a payment voucher as required.

Given below is an example of a Payment transaction with narrations for each entry:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The entry consists of both common narration and narrations for each entry. In case of multiple debit/credit entries, you can give single line narration separately for every ledger account selected.

Payment / Receipt as Contra

The Contra Voucher is used to indicate transfer of funds from Bank account to Cash account Bank account to Bank account Cash account to Bank account.

However, for users who wish to use the Payment and Receipt vouchers for this nature of transaction, Tally has the flexibility of defining Payment and Receipt behaviour as per Contra voucher. 1. 2. 3. 4. Go to Gateway of Tally > Accounting Vouchers Select F5: Payment from the Button Bar or press F5 . Activate the option Use Payment/Receipt as Contra to Yes in F12: Configuration screen. Accept the screen and save.

The Screen appears as shown.

If Use Payment/Receipt as Contra option is set to No in F12: Configure screen, the cash and bank accounts will not be displayed.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Warn on Negative Cash Balance

You can configure Tally to prompt you with a warning when the Cash ledger reaches a negative balance. To activate Warning on Negative Cash Balance : 1. 2. 3. Go to Gateway of Tally > Accounting Vouchers Activate the option Warn on Negative Cash Balance to Yes on the F12: Configure screen. Accept the screen to save.

Example: Let us assume a cash balance of Rs.54000 and you need to make a payment of Rs.55000 towards advertising expenses. This results in a negative balance. The entry is displayed as:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Tally prompts you with a box that displays the warning and also the credit cash balance in RED colour. This will help you decide whether to proceed with the entry or not.

Cheque Printing

You can choose to print cheques directly from Tally. Cheques will be printed while printing a Payment Voucher.

Enabling Cheque Printing
1. 2. Go to Gateway of Tally > F11: Features > Accounting Features Set Enable Cheque Printing and Set/Alter Cheque Printing Configuration to Yes.

Company Operations Alteration screen appears as shown.

Once the option Set/Alter Cheque Printing Configuration is activated to Yes, you will get the following screen.

Company Name on Cheque: To print the company name on the cheque for signature purposes, mention the name of the Company (for example, ABC Company). If you do not want Tally to print the name, you can leave it blank. Many banks give cheques with your company name printed. Name of Banks Select the Bank from the Bank accounts list. You will have to fill in the dimensions of the cheque. Tally accepts user defined cheque dimensions. Take the bank’s cheque book and measure the dimensions of a cheque leaf carefully in millimeters and fill in the above form. You may need to correct it after trying out a couple of cheques so that the positioning is accurate. The placing of the cheque in the printer also determines the printing. To avoid mistakes trial could be made on photocopies of a cheque before using an actual cheque leaf.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

N o t e : Salutation fields example, Director) Note: All dimensions

are

for

signatures

and

naturally

follow

the

Company

name

(for

must

be

more

than

0

for

cheques

to

be

successfully

printed.

For ABC & Company Director If your cheque has two signatories, both can be specified. Both could be the same salutation or different. For example, one could be Director, the other could be Secretary. Give details of whatever you are using currently. Many banks will pre-print both the company name and the salutation in their cheques, in which case you can leave them blank. You are now ready to print the cheque. Remember that this option is available only for the banks for which you have Ledger account.

Printing Cheques

A fter making the desired settings to print the cheque, Go to Gateway of Tally > Voucher Entry > F5: Payment Note: Cheque Printing option is available only from Payment Voucher.

Name on the Cheque You debit the party and give the bill reference details if any. Credit the bank for which the cheque dimensions were set up. In this example it is the State Bank of India. The name of the Debited party account appears next to the field Name on the cheque by default. You can change the name on the cheque if necessary. Cross Cheque using This is filled in by the most common words used - Account payee. You may change it if required.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Enter the Cheque Number (Ch. No.) and save the Voucher. Then, you will get the Cheque Printing sub-screen appears as shown below:

Select Yes to print the cheque.

Trouble-shooting Cheque Printing

1.

Go to Gateway of Tally

UNREGISTERED F11: Features and checkTO PDF CONVERTER PRO BY THETA-SOFTWARE 2. Select VERSION OF CHM the dimensions.
3. Ensure that you have not left any field blank other than the salutation fields.

Trial and error is the only way to get the printing in the right positions. Therefore do not panic if some words do not get printed in the UNREGISTERED correctly correct positions.TOstylesthe set-up a couple of times to set it right. This is necessary to be VERSION OF CHM Change used by different banks. BY THETA-SOFTWARE PDF CONVERTER PRO able to print on different cheque

Receipt Entry (F6)

Transactions accounting for money received are entered into Tally through the receipt voucher. To view the Receipt Entry screen: 1. 2. Go to Gateway of Tally > Accounting Vouchers Select F6: Receipt from the button bar or press F6

Similar to Payment and Contra vouchers, the Single Entry Mode appears for Receipt Entry as well. For example, if your company receives money from a customer for an earlier transaction: Credit the customer account and debit the Cash account, if you receive cash or Debit the Bank account where you need to deposit the money, if you receive cheque.

The entry in double-entry mode is displayed as shown below:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

More: Printing Receipt Voucher and Formal Receipt

Printing Receipt Voucher and Formal Receipt

For example, the company receives a certain amount from the customer against a particular invoice and a Formal Receipt has to be issued acknowledging receipt for the same. If you want the Receipt voucher to be printed: 1. 2. 3. Go to Gateway of Tally > Accounts Info > Voucher Types > Alter Select the Voucher Type Receipt Set the option Print after saving voucher to Yes.

The voucher prints as:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Note: Print

The information Command.

required

can

be

configured

in

F12:

Configure

after

giving

the

When you enter a receipt voucher, Tally prompts you to print the Formal Receipt (to be issued). Tally's Formal Receipt printing fulfils this requirement. To activate this facility: 1. 2. 3. 4. Go to Gateway of Tally > Accounts Info > Voucher Types > Alter Select the Voucher Type Receipt Set the option Print Formal Receipt after saving to Yes

3. 4. Accept the same

The Formal Receipt prints as

N o t e : An additional field Name on Receipt appears in the Receipt The receipt will be printed either with the Ledger Name or the name on Receipt field.

Voucher screen. given in the N a m e

Journal Entry (F7)

Journal entries are used to adjust the debit and credit amounts without involving the cash or bank accounts. Hence, they are referred to as adjustment entries. To go to the Journal Entry Screen:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
1. 2. Go to Gateway of Tally > Accounting Vouchers Click on F7: Journal on the Button Bar or press F7 key

UNREGISTERED VERSIONbe: CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE transaction the entry will OF
1. 2. Debit the Party Credit the Interest Account

For example, there may be entries made for interest accrued or interest to be paid. If a party is involved in such a

The entry appears as shown below:

Note: More:

Journal

entries

are

usually

used

for

finalization

of

accounts.

Cash Accounts in Journals TDS Deduction in Journals VAT in Journal

Cash Accounts in Journals

Journals are adjustment entries, which do not involve Cash account and Bank account. However in many cases companies use journals to account for day-to-day transactions where Cash or Bank accounts are required.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
1. 2. 3. Set Allow Cash Accounts in Journals to Yes in F12: Configuration . Go to Gateway of Tally > Accounting Vouchers > Select F7: Journal Press the spacebar at the Debit or Credit fields.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

N o t e : All Cash accounts and Bank Accounts. Accordingly the journal entry

accounts has to

are be

displayed made.

in

the

List

of

Ledger

Sales Entry (F8)

Sales vouchers are used when the company sells some goods to customers. To view the Sales Voucher Creation Screen: Go to Gateway of Tally > Accounting Vouchers > Select F8: Sales. For example, the company sells some software on credit. In this case, the company has to account for Sales and Sales Tax separately, if tax has been collected on the transaction. The screen appears as shown below:

When a sales transaction is made, a document detailing the transaction (item name, tax, etc) has to be given to the buyer or debtor as proof of purchase by him. This document is called "Invoice" or "Bill" or "Cash Memo". Tally provides the option of creating Invoices.

Enabling Invoicing
1. 2. 3. Set Allow Invoicing to Yes in F11: Features The Sales Voucher Creation Screen appears as Invoice by default. Go to Gateway of Tally > Accounting Vouchers > select F8: Sales

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Sales entries can be made in the Voucher as well as Invoice Formats. Invoicing and sales invoicing are almost the same as sales voucher entry. The advantage of using the invoice format for sales entry is that it allows automatic calculations of taxes and duties (ledger accounts classified under the group 'Duties & Taxes').

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
To enable automatic calculations of taxes and duties:
1. 2. Set Calculate Tax on Current Sub-total to Yes in F12: Configure on the sales invoice screen Accept the screen to save the voucher.

The default Sales Invoice screen appears as shown below.

When you start entering the voucher, Tally prompts for the Sales Ledger to be allocated. Any number of stock items or account ledgers can be selected one after another to enable faster data entry. To activate this: 1. Set Use Common Ledger A/c for Item Allocation to Yes in F12: Configure on the invoice entry screen. Accept the screen to save the voucher.

2.

Types of Invoice
There are two types of Invoices: Sales Item Invoice - allows you to select Items for invoicing Sales Account Invoice - allows you to select Ledgers for invoicing

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Sales Item Invoice

Invoicing is generally used for sale of stock where the details of the items sold are listed. Selecting the Item Invoice allows you to select the stock items that need to be invoiced. Trading and manufacturing organisations commonly use this format. On the Sales invoice screen, click on the button Item Invoice which is displayed on the Button Bar on the right side of the screen and the Sales Item Invoice appears as shown below:

Tally's Item Invoice mode displays the list of stock items, which can be invoiced as required. N o t e : The Item Invoice button toggles with Account Invoice .

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Sales Account Invoice

Sales Account Invoice is generally used by professionals such as doctors and consultants who require to invoice for certain services provided such as consultancy charges, professional fees. Trading and manufacturing organisations also use the Account Invoice for invoicing service charges. On the Sales entry screen, click on Acct Invoice button which is displayed on the Button Bar on the right-hand side of the screen to display the Sales Account Invoice screen as shown.

T ally's Account Invoice mode displays the list of ledger accounts, which can be invoiced as required. This is unlike Item Invoice where Tally displays the list of stock items. N o t e : The Acct Invoice button toggles with Item Invoice.

Sales and Purchase Voucher Entry

In Accounts-with-Inventory Companies where Tracking Numbers is NOT activated
You do not UNREGISTEREDget the voucher types Receipt Note and Delivery Note inBY THETA-SOFTWARE VERSION OF CHM TO PDF CONVERTER PRO the Sales and Purchase Voucher menus. sub-

In addition to the above particulars that are applicable for all types of vouchers, sales and purchase vouchers have special inventory considerations for accounts-with inventory companies. Sales and Purchase ledger accounts must have the option Are Inventory Values Affected set to Yes for this section. Unless this option is set to Yes in the Ledger creation screen, it is not possible to make a Sales entry or a UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Purchase entry. Similarly, Sales and Purchase accounts affect inventory. Hence, when you enter a Sales or a Purchase Voucher, an Inventory Allocations for sub-screen pops up as soon as you enter the ledger requiring you to give inventory item details. The inventory details that you mention in an accounting voucher (like Sales and Purchase Voucher), affects stocks by immediately updating them, only if Tracking Numbers are not activated in [F11]: Features. The information that you need to give in the inventory allocation sub-screen depends upon the features enabled for the company. More: Inventory allocations VAT

Inventory allocations

Inventory items need to be considered in financial vouchers if you are using ledger heads that have the option Are Inventory Values affected set to Yes. The inventory details that you give in an accounting voucher (like Sales and Purchase Voucher), affects stocks by immediately updating them, only if Tracking Numbers are not activated in F11: Features. The information that you need to give in the inventory allocation sub-screen depends on the features enabled for the company. A typical inventory allocation sub-screen appears as shown.

Name of Item Select item from the list of items or create a new item by pressing Alt+C Location If you have more than one location you must specify the location to which this item relates. 1. 2. Set Maintain Multiple Godowns to Yes in the F11: Features. Specify the Godown, Quantity, Rate and Amount for the item.

You can have different Godown locations.

Quantity

Enable the option Actual and Billed Quantities to Yes. The actual quantity updates stock and the billed quantity affects the accounts. Give the quantity either in the main unit or the alternate unit. You may even specify quantities in both units, for example 100 bars=150 Kgs. Rate Enter the rate for the Stock Item. If you have entered Standard Rate for the item (Standard Cost and Standard Selling Price – see Item Master), the voucher will select the relevant standard rate for that date by default. You can modify it while entering the voucher. Per Enter the unit of measure for the quantity of the item here. This can be the main unit or even the alternate unit. Amount The quantity VERSION OF CHM unit is the amount. UNREGISTERED multiplied by the rate perTO PDF CONVERTER PRO BY THETA-SOFTWARE End of List In all multiple allocations or selections, you have to select the option End of List or press Enter at the first blank field. This would accept the multiple allocations and take you back to the parent screen. For example, Multiple Locations, Batches or Items. Batch Wise Details If you wish to maintain the Inventory in Batches, you need to set the option Maintain Batch-wise Details to Yes in F11: Features. If required, you can also set the option Set Expiry Dates for Batches to Yes. Once you do this, you will see the option Maintain in Batches in the Stock Item Creation Screen. If you set this to Yes, you will find the following in the Item Allocation screen: Track Date of Mfg Use expiry dates

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Batch Number Select a batch number from the list of existing batch numbers, or create a new number for a new batch. Mfg. Date Mfg Date appears only if it is activated. Enter the date of manufacture. This enables you to set expiry date for the

batch as a period from the date of manufacturing. For example, three months from the date of manufacture. Expires on This field appears only if it is activated. Enter the date of expiry or a period from the date of manufacture. If you have set Allow Use of Expired Batches to Yes for an item, you cannot issue them after the expiry date.

Additional Information
Manufacturers and traders, who deal in perishable products, need to maintain batch-wise details of stock items. The manufacturing date and expiry date options are entered in Tally to maintain batch-wise details. To ensure that the expired items do not appear in your Stock Journals and Sales Invoices, set Honor Expiry Dates usage for Batches to Yes in F12: Configure of the Sales Invoice screen. This keeps track of the batches. If you have two batches of the same product in stock, and one batch has crossed the date of expiry, the sales invoice will not display the balance amount of the expired stock, thus honouring the expiry dates which you have set for your stock items. Refer Activating batch-wise details, Setting manufacturing date and Expiry dates for more details.

Unconventional Vouchers

Unconventional Vouchers are the special vouchers that are used to record provisional or non-accounting transactions. Use unconventional vouchers to remove unnecessary entries from the main books of accounts and make information available. These vouchers enable valuable reports in terms of provisional accounts and forecasting. VERSION OF CHM TO for more information. UNREGISTEREDRefer to Scenario Management PDF CONVERTER PRO BY THETA-SOFTWARE More: Memo Voucher Memorandum Voucher Register

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Optional Voucher Optional Vouchers Register Reversing Journals Reversing Journal Register Post-dated Vouchers Post-dated Vouchers Register

Memo Voucher

This is a non-accounting voucher and the entries made using memo voucher will not affect your accounts. In other words, Tally does not post these entries to ledgers but stores them in a separate Memorandum Register .

Uses of Memo Vouchers Making suspense payments
Consider a company gives its employee cash to buy office supplies, the exact nature and cost of which are unknown. For this transaction you can enter a voucher for the petty cash advance, a voucher to record the actual expenditure details when they are known, and another voucher to record the return of surplus cash. However, a simpler way of doing it is to enter a Memo voucher when the cash is advanced, and then turn it into a Payment voucher for the actual amount spent, when the details are known. Consider the following Example. The Company pays its employee Rs. 500 as petty cash advance for Office Expenses. The following entry has to be passed. 1. 2. Enter Date Debit office supplies

2.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Vouchers not verified at the time of entry
If you do not understand the details of a voucher you are entering, you can enter it as a Memo voucher and amend it later when the details are available.

Items given on approval
Generally completed sales are entered into books. Incase items are given on approval , use a Memo voucher to track and convert it into a proper Sales voucher. You can delete the memo voucher if the sale is not made.

Memorandum Voucher Register

To view all the memorandum vouchers: Go to Gateway of Tally > Display > Exception Reports > Memorandum Vouchers.

Note:

You

can

also

view

memorandum

vouchers

from

the

Day

Book.

You can alter and convert a Memo voucher into a regular voucher when you decide to consider the entry into your books. Use Scenarios to see the effect of Memo entries on reports and statements.

Optional Voucher

This is also a non-accounting voucher. Unlike a Memo voucher, this is not a separate voucher type. You can mark an existing voucher (for example, a payment voucher or a receipt voucher) as Optional . Press CTRL + L or click on Optional from the Button Bar. This button toggles with Regular . By marking a voucher Optional , the UNREGISTERED VERSION OF CHM TO PDF CONVERTER Register. THETA-SOFTWARE voucher does not get posted anywhere but remains in the Optional PRO BY You can make a voucher type default to Optional if you need to create a new voucher type or alter an existing voucher type. Go to Gateway of Tally > Accounts Info > Voucher Types> select a Voucher Type as default to Yes . > Set Make Optional

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Enabling Optional Vouchers
1. 2. 3. 4. Go to Gateway of Tally Select F11:Features > Accounting Features to display Company Operations Alteration screen Set Use Rev. Journals & Optional Vouchers? to Yes . Accept the screen to save.

Use of Optional Vouchers
If you do not want a transaction that is incomplete to affect the accounts, you can mark this as an Optional Voucher. Once the transaction is complete, modify the voucher and post it as Regular Voucher. For example, Performa sales invoice. In fact, an optional sales invoice prints as a Performa Invoice. Optional Vouchers allow you to see the impact of transactions without actually posting them. Optional Vouchers can be used to forecast future sales. For example, create a New Voucher Type - Sales Forecast. Record future sales projections using this voucher type.

Let us consider the following example. On 30th June you want to view the Balance Sheet as of today but June rent is not due for payment until the first week of July. This liability is not reflected in the Balance Sheet. To overcome this, enter an Optional Voucher dated 30th June. The above entry is made as shown below 1. 2. 3. Enter Date Select Optional from the button bar Debit Rent account

3.

When you view the Balance Sheet, generate a report with the Optional Voucher included. The Optional Voucher should be already defined as a Scenario (Refer section on Scenario Management for more details). The voucher affects the report temporarily. Once you quit the report, Tally does not retain the Scenario details. The next time you view the balance sheet, it will not include the effect of the Optional Voucher unless you include it. N o t e : Use S c e n a r i o s statements to see the effect of Optional voucher entries on reports and

Optional Vouchers Register

You can view all optional vouchers in the Optional Vouchers Register

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Note: You can view them from the Day Book as well.

Go to Gateway of Tally > Display > Exception Reports > Optional Vouchers.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Reversing Journals

Reversing Journals are special journals that are automatically reversed after a specified date. They exist only till that date and are effective only when they are included in reports like the Balance Sheet . These are used in interim reporting in the course of the financial year where accruals are to be reported. These accruals are usually short term and are cleared in the subsequent period. However, to get a proper perspective, decision makers require the reports with full impact of all aspects and transactions.

Activating Reversing Journals
To activate Reversing Journals 1. 2. 3. 4. Go to Gateway of Tally Select F11: Features > Accounting Features to display Company Operations Alteration screen Set Yes in Use Rev. Journals & Optional Vouchers? Accept the screen to save.

An example is - the provision for depreciation. Depreciation is usually provided for at the end of the year. However, including it for monthly reporting would give a more accurate status. Let us take another example: On 30th June you want to view the Balance Sheet as of today but June salaries are not paid until the first week of July. There is, therefore, a large liability, which would not be reflected in the Balance Sheet. To overcome this, you enter a Reversing Journal Voucher dated 30th June, which would look like this:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

When you view the Balance Sheet, Tally displays the report with the reversing journals included. The voucher affects the report only for that day, 30th June.

Applicable up to
This is the date up to which the Reversing Journal is available for inclusion in a scenario report . The Reversing Journal can be created as of a particular date and made Applicable up to a different date. For example the depreciation entry could be dated October 1, 2005 and applicable up to October 31, 2005. The journal will be available for inclusion in a scenario for any day from October 1, 2000 till October 31, 2000. It will not exist before 1st Oct and will be reversed automatically after 31st Oct and consequently unavailable.

Reversing Journal Register

All vouchers are maintained in a Reversing Journal Register. These are not posted to any books of accounts and cannot be included in regular reports. They can only be seen through a scenario. Go to Gateway of Tally> Display> Exception Reports> Reversing Journals

Post-dated Vouchers

While entering vouchers, you can mark them as post dated. Tally will not update the vouchers in ledgers until the specified date is approached. This is useful to enter transactions that take place on a regular basis. For example, if you pay for something by installments, you can set up the payments in advance, and Tally will only enter them in the ledgers as they fall due. UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Mark vouchers Post Dated by using CTRL + T or click on Post dated button from the Button Bar. This button toggles with Current.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Post-dated Vouchers Register

All Post-dated vouchers are maintained in a Post-dated voucher Register. Go to Gateway of Tally> Display> Exception Reports> Post-Dated Vouchers

Difference in the treatment of Post-dated Vouchers and other Unconventional Vouchers
The major difference between post dated vouchers and other Unconventional vouchers is that post dated Vouchers affect regular books of accounts on the date of the voucher. Post-dated vouchers are not available for selection in Scenarios.

Creating Accounting Vouchers in Tally

To view the Accounting Vouchers screen:

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Note : Company The Voucher Features and Entry the screen Voucher display Type depends settings. on the Voucher Configuration,

Go to Gateway of Tally > Accounting Vouchers

The default voucher entry screen that is displayed is the Payment Voucher screen. To go to the next voucher screen you can simply switch the vouchers using the buttons from the Button Bar or by using the Function keys.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Consider a simple payment voucher screen.

More:

Type of Voucher Voucher Number Reference Date of Voucher Particulars – To /By or Dr/Cr Narrations Particulars – Ledger name and amount Buttons in a typical Voucher Entry screen

Type of Voucher

You need to check whether you are using the right voucher for the transaction. You change the voucher type by selecting the new type from the Button Bar. In some cases, Sales, Purchase and TO PDF well as where you have created your own voucher types. UNREGISTERED VERSION OF CHM Journal, asCONVERTER PRO BY THETA-SOFTWARE For example, under Payment, Tally will display a List of Vouchers for the type you select, from which you make a further choice.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Voucher Number

If you have set Method of Voucher Numbering to Automatic in Voucher Type screen, Tally will automatically enter the voucher number and if you have set Method of Voucher Numbering to Manual, Tally allows you to enter the voucher number manually.

Reference

You can enter a reference such as Purchase Order Number or Invoice Number in the Ref: Field.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Note:

Reference

is

not

available

for

receipt

and

payment

vouchers.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Date of Voucher

The date of the voucher you enter is displayed at the top-right of the Voucher Creation screen. The date is taken initially from the Current Date in the Gateway of Tally. However, you can change the date to ensure vouchers are entered with the appropriate date using the F2: Date button.

Note:

You

change

the

date

using

the

F2:

Date

button

from

the

button

bar.

Narrations

You can type any comment that is appropriate for the transaction in Narrations. You can configure Tally's Narration details as per the type of narration for the transaction. The types of Narrations are:

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Common Narration – Common narration details for the entire Voucher at the end. Single Narration – Narration details for every debit or credit transactions made.

Enabling Narrations UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Common Narration is enabled by default in Tally. To activate Narrations on the voucher screen 1. 2. 3. 4. 5. Go to Gateway of Tally > Accounts Information > Voucher Types > Alter Select the required Voucher Set the option Narrations for each Entry to Yes Accept the details. Return to Accounting Vouchers on Gateway of Tally and make a payment voucher entry as required.

Following examples demonstrate a Payment transaction that has both common narration and narrations for each entry. The advantage of this being that you can give single line narration separately for every ledger account selected in case of multiple debit/credit entries.

Particulars To/By or Dr/Cr

To/By or Dr/Cr

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1. 2. Set Use Cr/Dr instead of To/By during entry to Yes in F12:Configure Accept to Save

By default Tally displays To/By which can be changed to Dr/Cr.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Each voucher line displays a prompt of Dr/By for debit entries or Cr/To for credits.
N o t e : Depending on the voucher type, Tally selects either D r or Cr/ Thereafter, you can change the prompt (if required) by typing over it or B . To or B y. with a D or C / T

Particulars – Ledger name and amount

Ledger name and amount After To/By or Dr/Cr, you enter the ledger names that are already created and the debit and credit amounts. To select a ledger, type the first letter of its name and Tally displays a List of Ledger Accounts. The ledgers starting with the typed letter are highlighted. Only ledgers suitable for the voucher type are displayed. As you continue typing, the highlights reduce until a match is found. The first ledger name prompt depends upon the voucher type. For example, in a Payment Voucher you have to first debit a personal account like a creditor or a nominal account like Rent. Hence you are not allowed to enter Cash or Bank as that would determine money received. N o t e : In special case where as C o n t r a in the Voucher in you have activated the option Allow Configuration you are permitted to do so. Payment/Receipt

Likewise, in a Sales Voucher, you must first debit a personal account name like a customer and not a nominal account name. When you select the ledger, the current balance is displayed (only if F12: Configure is configured). When you enter the amount, the revised current balance is shown. After selecting the next ledger, Tally suggests the balancing amount as the value to enter, which may be accepted or typed over. You cannot complete the voucher entry until the debit is equal to the credit. More: Buttons in a typical Voucher Entry screen

Buttons in a Typical Voucher Entry screen

F2: Date - You can use this button to change the date of the voucher. you can, almost simultaneously enter TO PDF CONVERTER PRO BY UNREGISTERED VERSION OF CHM vouchers for more than one company. THETA-SOFTWARE F3: Company - This would allow you to switch to another loaded company and enter a voucher in it. Therefore,

Accounting Vouchers
F4: Contra

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE F5: Payment
F6: Receipt F7: Journal F8: Sales F9: Purchase F10: Memos F7: Stock Journal F10: Phys Stock - This allows recording of physical stock in hand as distinct from computed stock figures.

Other Buttons
As Voucher/As Invoice: This button is available only for Sales/Purchase Vouchers and invoices. Post Dated -To mark the current voucher post dated. Toggles with Current Optional - To mark the current voucher optional. Toggles with Regular F11: Features - The different features of a company can be selected or modified by using the F11: Features button. This button is available in almost all screens of Tally. You can modify it as and when based on the requirements. F12: Configure - The F12: Configure button allows you define and enable the report-specific options which are required. For example, depending on the report that you are viewing, you can specify whether it should be in horizontal or vertical format, show percentages, show gross profit, show opening and/or closing balances, change the periodicity, change the sorting method. N o t e : To check the accuracy of the vouchers entered, select Day Book from the Display Menu. Then Select F2: Period from the Button Bar and enter the period of display (it defaults to the current date only, but you may display all the transactions for a particular period). Select F1: Detailed. Check the vouchers against what you were asked to do. If you find a mistake, position the highlight bar over the incorrect item and press E n t e r for Tally to display the voucher details for alteration. N o t e: The alteration available for audit. facility is subject to security and access rights. All alterations are

Voucher Classes

Voucher Class is a method of automating accounting allocations during Invoice entry. It is a table for predefining the entries to make invoice entry a simple task. This is particularly useful in sales invoicing where the nominal ledger account, to be credited for each item of sale is defined once. During voucher entry, the accounting credits for items sold are done automatically. Additional accounting entries like BY THETA-SOFTWARE UNREGISTERED VERSION OF CHM TO PDF CONVERTER PROTax, Freight and other charges can also be predefined to be brought up during actual invoicing. This will have restriction on a data entry operator to alter or modify the vouchers. The total control rests with senior management to set the class parameters. It also reduces chances of errors during voucher entry. You can still continue to use Tally as before without classes if you do not require it. Classes can VERSION OF CHM the rounding off the values. The rounding-off method can be preset UNREGISTEREDalso be used to automate TO PDF CONVERTER PRO BY THETA-SOFTWARE defining a class for a single line or for the entire voucher or invoice. Voucher Class permits: 1. 2. Automation of entries to predefined ledger accounts. Automatic rounding off to preset value limits. when

Another additional feature is the ability to define default sales ledger account to be affected for each Stock Item. This capability is available for companies maintaining accounts with inventory. 1. Go to Gateway of Tally 2. Select the Button F12: Configure 3. Select the option Accts/Inv Info. 4. Set Specify Default Ledgers for Invoicing to Yes Now, when you alter or create a Stock Item, you can define the nominal ledger account (usually the sales account), which should automatically be credited when you invoice this item. Example: You might have Sales Ledgers broken up as Sale of Finished Goods and Sale of Intermediates. Let us assume that your finished goods are Computers and intermediate goods are CD ROM drives. Against the Stock Item Computers, specify Sale of Finished Goods as the default Sales Ledger account to be affected. Against CD ROM drive specify Sale of Intermediates as the default Sales Ledger account. These will be the default sales ledger accounts that will be affected only when invoicing. They can be overridden by the account that you set in the Class table. The dual facility of ledger allocation with Stock Item and ledger allocation defined in a Class provides the flexibility to permit allocation of different Stock Items to different sales accounts as set up in the Class table. You can either alter the existing Sales Voucher Type or create a new Voucher Type based on Sales. 1. 2. 3. Go to Gateway of Tally > Accounts Info > Voucher Types > Alter Select any Voucher Type from the list, say, Sales. Go to the field Name of Class and enter a name

3.

This displays a sub screen where you can define the Default Accounting Allocations for Sales Invoice and the Default Accounting Allocations for Purchase Invoice. You can specify the Ledger Name, the Percentage (%) of the amount to go into the ledger and the Rounding Method and the Rounding Limit if any. The Type Class screen appears as shown below.

The Class Table is split horizontally for accounting allocations and additional accounting entries. More: Default Accounting Allocations Type of Calculation An explanation of 'Types of Calculation' VAT

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Default Accounting Allocations

Ledger Name
Select the ledger to be credited for each Stock Item sold in the invoice. More than one ledger may be affected for each item. For example, for Tax-inclusive items, the ledgers to be credited will be Sales and Tax in a definite proportion. This is where percentage helps.

Percentage %
This is useful in tax-inclusive price cases. You can allocate say 82.5% for the sales ledger account and the balance can be allocated for Tax account. Normally, for tax-exclusive prices, you will give 100% for the Sales account. The percentage (%) symbol has to be mentioned. While creating or altering classes for the Voucher Types Credit Note, Delivery Note, Sales and Sales order in the Voucher Type Class screen, for the Column Percentage % under Default Accounting Allocations for each Item in Invoice, the number of decimal places allowed for the numbers input in this column has been increased from two to three irrespective of the number of decimal places defined for the company.

Rounding Method
The Rounding Method may be used only where the sales account is NOT 100%. The amounts that are calculated may be required to be rounded off either under Upward Rounding or Downward Rounding or Normal Rounding. Normal Rounding is rounding to the number of decimal places specified for the currency based on the less than 5 and greater than 5 rules. You can set your own rounding off rule. For example, round off to the next whole number. In such cases, you can round off Upwards.

Rounding Limit
When any of the rounding method is selected from the list, you can round off (Upwards/Downwards/Normal). For example: set it to 1 to obtain the amount to the next whole number. To round off upwards to the nearest 50P, set it to 0.50.

Override using Item Default?
Select Yes or No. Item default refers to the Default Ledger account that you had set for a Stock Item. For example, Computers – Sale of Finished Goods. If in the Class Table, you mention Sales –Local, and set No to this question, then Sales –Local will be the account affected and not Sale of Finished Goods. Setting it to Yes will affect Sale of Finished Goods. The advantage of this is that you can use different classes to affect different sales accounts.

Additional Accounting Entries
This part is relevant for Tax and other charges like freight and insurance. Ledger Name - Select other Additional Ledgers if any, one by one. Type of Calculation - Select the suitable method of calculation from the drop-down menu. The Value Basis that you will provide in the next column will calculate using the type of calculation specified. For more details refer Type of Calculation. Value Basis - Enter the amount, which is to be used for the Type of Calculation. For percentage, you can use the symbol %. In the example, 17.5% is specified for Tax on Sales on Item Rate, to use the rate given in the Stock Item. Remove if Zero? - Enter Yes for Tally to ignore the account and not to make any entry in it if its value is zero. If

Yes, ensure that Allow 0 valued entries in vouchers in F11: Features is set to No. On Setting No Tally will record the invoice in the ledger account with nil amounts. Under normal circumstances, you will probably wish to set this value to Yes. However, in cases such as 'Zero Rated VAT', you may wish to retain the Ledger Account line, even though the calculation yields a nil amount. Additional Information Effect on Cost Centres - Cost Centres will remain un-allocated when Classes are used to allocate account entries. Cost centres can also be predefined under Cost Centre Classes. Refer to Cost Centre Classes for further information.

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Types of Calculation

As Additional Excise
In the Indian sub-continent, a manufacturing tax or Excise is levied. For some products, a supplementary levy on the Basic Excise Duty is charged or Additional Excise Duty. This is a surcharge calculation. For example, an Additional Excise Duty of 10% on the Basic Duty. While the calculation method is identical to Surcharge, the result is to provide a Total Excise Payable calculation accurately during Invoice printing. As

As a Flat Rate
This is helpful when you wish to specify a standard mark-up/down on an invoice - say 100 for every invoice, independent of the quantity/value of the invoice.

As Surcharge
This helps you to calculate the value based on the immediately preceding figure. For example, a Sales Tax of 10% is applicable on an invoice, which would be calculated on the value of goods sold. On this, a 'Surcharge' of 5% i.e. 5% of the Sales Tax value is applicable.

As Total Amount Rounding
This is the last line in an invoice. You will have to create an account, which would carry the rounding difference. As the other values of the invoice are calculated, this account would automatically get adjusted to keep the Total Invoice Value to the desired rounding limits. You have to mark this invoice as Remove if Zero? Yes so that the account head is not retained in the invoice printouts if no rounding is applicable.

As User Defined Value
This allows you to specify a value while creating the invoice. You will use this when the basis of calculation is neither Value nor Quantity dependent and therefore needs to be entered every time you create an invoice.

Based on Quantity
Use this for calculations that are based on the 'Total Qty' supplied. For example, you may have Freight or Forwarding charges as 2.00 per Kg, and if the total qty supplied in the invoice is 200.000 Kg, then the amount should become 400.00. The Value Basis also needs to be provided as '2.00/Kg' or '0.50/Pc' as the case may be.

On Current Sub Total
In certain environments, taxes are applicable on the Total Goods Value as well as supplementary charges like Excise Duty, Packing Charges. Normally, when the tax calculation method is specified as On Total Sales the calculations are based on the Total Goods Value only. If you want to include supplementary charges, then set On Current Sub Total as the type of calculation.

On Item Rate
This is used for both VAT as well as Excise Duty style calculations. You can specify the Rate of Tax applicable for each Stock Item. The advantage is that it enables you to combine multiple Tax Rate products in the same Invoice and yet get the correct ones picked up for each Tax bracket.

On Total Sales
The most common basis of Tax Calculation is on the total value of goods/services. This method uses the sum of Stock Items used in the invoice for calculations.

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Inventory Vouchers

Inventory Vouchers perform the same function in the inventory system just as accounting vouchers do in the accounting system. Inventory Vouchers are also means of entering transactions. Inventory vouchers record the receipt and issue of goods/stock, the transfer of stock between locations and physical stock adjustments. If you have not integrated accounts with inventory, inventory vouchers will not have any impact on the Balance Sheet stock figures. They will maintain the stock balances separately. To view Inventory Vouchers: Go to Gateway of Tally > Inventory Vouchers

Configuration on Tally
Set the option Integrate Accounts and Inventory to Yes in F11: Features. You can trace an entire transaction from the beginning i.e., goods transfer stage to the financial accounting irrespective of integration status. For example, the purchase of stock can be tracked from the purchase voucher through the receipt note, through invoice from the supplier and also through eventual payment. More: Types of Inventory Vouchers How to enter pure Inventory Vouchers How to create a Stock Journal

Types of Inventory Vouchers

Tally is pre-programmed with Inventory Vouchers of various natures, each designed to perform a different task. The following table displays the standard Accounting Vouchers provided in Tally and their corresponding activation key combination and buttons. You can either use the key combination given in the table below or the buttons on the Button Bar. UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Key Combination ALT+F9 ALT+F8 ALT+F6 CTRL+F6 ALT+F7 Alt+F10 ALT+F5 ALT+F4 Buttons F9: Rcpt Note F8: Dely Note F6: Rej.Out F6: Rej.In F7: Stk Jrnl F10:Phys Stk F5: Sales Order F4: Purc. Order Voucher Type Receipt Note Voucher Delivery Note Rejections Out Rejections In Stock Journal Voucher Physical Stock Sales Order Purchase Order

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Set the option Use Tracking Numbers to Yes in F11: Company Features to activate Goods In Receipt Note and Goods Out Delivery Note vouchers. Tally will assume that goods are received along with Purchase Vouchers and Goods are delivered along with Sales Vouchers/Invoices. Activating Tracking Numbers denote that you may receive goods that are not accompanied by a Supplier's invoice, i.e. the invoice will arrive separately and that you may not deliver the goods along with the invoice but will invoice it later. N o t e : In a voucher you are allowed to select Not Applicable when the Tracking Number sub-screen appears. This would update inventory immediately without passing a separate inventory voucher and vice-versa. For more details refer Advanced voucher entry. You can alter these vouchers to suit company requirements as well as create new Inventory Vouchers. For example, if you wish to distinguish between delivery notes for stock delivered from different locations you can create vouchers to do this. More: Receipt note Voucher Rejections-in Voucher Delivery note Voucher Rejections-out Voucher

Stock Journal Voucher Physical Stock Voucher

Receipt Note Voucher

This voucher type is used for recording goods received.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
1. 2. Go to Gateway of Tally > Inventory Vouchers Press the button Alt+F9 or Select the button F9: Rcpt Note from the button bar.

To view the Receipt Note Voucher:

UNREGISTERED VERSION company receives new CONVERTERaPRO BYIfTHETA-SOFTWAREfor that For example, consider the OF CHM TO PDF stock items from supplier. a Purchase Order exists
Supplier, select the Order Number from the List of Orders pop up menu to bring up the order particulars automatically. Receipt Note Description Details Recorded Records receipt of new stock from suppliers Reference, Ledger Account, Supplier’s Name, Address and Despatch Details (If Accept Supplementary Details option is set to Yes in F12: Configure), Name of Stock Item, Tracking Details, Godown, Quantity, Rate (Optional), Amount (Optional), Narration

Rejections-In Voucher (Sales Returns)

A Rejections In Voucher is used to record goods that are rejected and returned back by the customer. To view the Rejections In Voucher 1. 2. Go to Gateway of Tally > Inventory Vouchers Press the Ctrl+F6

Rejections In Voucher Description Details Recorded Records return of goods from customers. Ledger Account, Customer’s Name, Address (If Accept Supplementary Details option is set to Yes in F12: Configure), Name of Stock Item, Tracking Details, Order details, Godown, batch details, Quantity, Rate (Optional),Amount (Optional), Narration.

Delivery Note Voucher

The Delivery Note voucher is used for recording goods delivered to a customer.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
1. 2. Go to Gateway of Tally > Inventory Vouchers Press Alt+F8 or select the button F8: Dely Note from the button bar.

To view the Delivery Note Voucher

UNREGISTERED VERSION OF CHM TO PDF Stock to a customer. If a Sales Order exists for that customer, For example, the company delivers goods from CONVERTER PRO BY THETA-SOFTWARE
selecting the appropriate Order Number from the List of Orders pop-up menu will automatically bring up the relevant particulars. Delivery Note Description Details Recorded Records the delivery of goods to customers Reference, Ledger Account, Customer’s Name, Address and Despatch Details (If Accept Supplementary Details option is set to Yes in F12: Configure), Name of Stock Item, Tracking Details, Godown, Quantity, Rate (Optional), Amount (Optional), Narration

Rejections-Out Voucher (Purchase Returns)

The Rejections Out Voucher records goods that are rejected and returned to a supplier. To view Rejections Out Voucher: 1. 2. Go to Gateway of Tally > Inventory Vouchers Press Alt+F6 or Select the button F6: Rej. Out from the Button Bar

For example, the company returns items that had previously been taken into stock from the supplier Rejections Out Voucher Description Details Recorded Records return of goods to suppliers Ledger Account, Supplier’s Name, Address and Despatch (If Accept Supplementary Details option is set to Yes in F12:Configure), Name of Stock Item, Tracking Details, Order details, Godown, Quantity, Rate (Optional), Amount (Optional), Narration

Stock Journal Voucher

Stock Journal Voucher is used to record stock transfers from one location to another.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
1. 2. Go to Gateway of Tally > Inventory Vouchers Press the buttons Alt + F7 or Select the button F7: Stk Jrnl from the Button Bar

To view the Stock Journal Voucher:

UNREGISTERED VERSION OF CHM TO of stock from the warehouse to the shop. For example, the company transfers items PDF CONVERTER PRO BY THETA-SOFTWARE
Stock Journal Voucher Description Details Recorded Records the transfer of stock from one Location to another Reference, Name of Source and Destination Locations, Name of Stock Item, Godown, Batch, Quantity, Rate, Amount, Narration

More: How to Create a Stock Journal?

Physical Stock Voucher

Physical Stock Voucher is used for recording actual stock physically verified or counted. To view the Physical Stock Voucher 1. 2. Go to Gateway of Tally > Inventory Vouchers Select the button F10: Phys Stk from Button Bar or press Alt+F10

For example, Physical Stock is the stock found on conducting a stock check. It is not unusual that the company finds a discrepancy between actual stock and computer stock figure. Physical vouchers will be useful for recording purposes only if you have configured inventory vouchers to ignore physical stock differences. If you have configured the vouchers so that physical stock difference is not ignored, then all transactions subsequent to the physical stock voucher will use the balance as mentioned in that voucher. Physical Stock Voucher Description Details Recorded Records the physical stock count as the new stock balance Stock Item, Location, Batch details and Quantity.

Entering Pure Inventory Vouchers in Tally

Selecting and Entering the Voucher

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There are five kinds of inventory vouchers: Receipt Notes and Delivery Notes Rejections - in and Rejections - out

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Sales Order and Purchase Order Stock journal Physical stock

Note: Vouchers involving pop-up be assumed that these settings The basic procedure to enter each voucher is: 1. 2. 3.

screens depend upon have been activated.

configuration

settings

and

it

will

Go to Gateway of Tally >Inventory Vouchers Change the date if necessary. Select the V oucher type from the Button Bar

Enabling F11: Features
Set Use Tracking Numbers to Yes to activate Delivery Note and Receipt Note vouchers. Set Use Rejection Notes to Yes to activate Rejections In and Rejections Out vouchers. Set Allow Purchase Order Processing and Allow Sales Order Processing to Yes to activate Purchase Order and Sales Order vouchers.

A typical Receipt Note inventory voucher screen appears as shown below:

The screen is divided into three sections: 1. 2. 3. The Type, Reference and Date of the Voucher. Party's Particulars and Ledger Account. Inventory Item Details.

You can change the voucher type by selecting the required type from the Button Bar. N o t e : In some notes in F11 ) More: Type of Voucher Tracking Number cases such as Receipt you will see a pop-up Notes (where you screen from which have opted for Use you select the right rejection voucher.

Default Voucher number Order Details (in case Purchase Order Processing is active)

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Type of Voucher

Select the Voucher required form the Button bar. Prior to making a voucher entry, ensure that you are using the right voucher. You can change the voucher type by selecting the new type from the Button Bar. In some cases, like receipt notes (where you have opted for Use Rejection notes in F11: Features) you will see a pop-up screen from which you can select the appropriate voucher.

Voucher number
Voucher numbering by default is automatic. It can be entered manually by setting it in Voucher Types.

Reference number
This is optional. You can enter a reference such as Purchase Order Number or Supplier's Delivery Note Number.

Date of voucher
The date of the voucher you are entering is displayed at the top-right of the Voucher Creation screen. By default, this will be the Current Date. You can change the date to the transaction date. Note: You can change the date using the F2: Date button on the Button Bar.

Ledger Account
There are no To/By or Dr/Cr in inventory vouchers. To select a ledger, type the first letter of its name and Tally will display a List of Ledger Accounts. As you continue typing, the highlights reduce until a match is found. Here you usually need a supplier's ledger account.

Supplier's name and address
Enter details of the supplier's name and address. This can be different from the ledger name or can be the same. This information is useful when printing out the Goods Receipt Note.

Name of the Item
From the pop-up list of Stock Item, select the Stock Item that is being received. If it is not in the list, create it using ALT+C.

Tracking Number

Set Use Tracking Numbers to Yes in F11: Features > Inventory Features

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The Tracking number is used to link the Receipt Note with the Supplier's Invoice that will be received later. (Supplier's Invoice is recorded through the Purchase Voucher). Hence, select the number which helps maintain the link. Tally gives the Receipt note number and the Reference number as default. However; you may opt to give your own number, in which case select New Number. If you do not wish to give a tracking number at all, select Not Applicable. Tracking numbers link the different accounting vouchers with the inventory vouchers as follows: 1. 2. 3. 4. Receipt Note/Goods In vouchers are linked to Purchase Vouchers Goods Out /Delivery Note are linked to Sales Voucher/Invoice. Rejections-In is linked to Credit Note Rejections-Out is linked to Debit Note

New number
Enter a new number that is not in the list. You can use this number to reconcile, while making a Purchase Voucher entry.

Not applicable
You can select Not applicable if you do not want tracking number. This may be resorted in cases where you want to update stocks immediately with this entry and no goods inward entry is needed. If you select Not Applicable in an inventory voucher, it will update stocks and you need not make a separate accounting/invoice entry.

Uses of the option Not Applicable
If you need to raise a sales voucher/invoice that accompanies the goods and do not want to pass Goods Out entry, Not Applicable will update stocks without the Goods Out entry. When you record a purchase voucher and wish to update inventory without a separate Goods In entry, select Not Applicable for the tracking number.

The same applies to Debit Notes-Rejection Out and Credit Note-Rejection In. When you send out samples for approval, where you do not want to raise an invoice. When you receive samples, but no invoice will be forthcoming.

Default Voucher number

Reference number

UNREGISTERED VERSION OF and the TO PDF number of the current voucherTHETA-SOFTWAREone that Tally lists the voucher number CHM reference CONVERTER PRO BY for selection. Select the
is easy to track later.

Pending tracking number
If you have pending tracking number from a CONVERTER PRO BY THETA-SOFTWARE UNREGISTERED aVERSION OF CHM TO PDF previous voucher, it will be listed here together with details like location, quantity, rate and amount. Select a pending tracking number to adjust that with the current voucher entry. This could be a Purchase Voucher received and recorded, for which the goods are now being received.

Order Details (in case Purchase Order Processing is active)

If Purchase Order Processing is activated in F11: Features, an order field will be available. Select Not Applicable if there are no order particulars to adjust or record.

If the order exists, the fields are automatically filled up once you select the order number from the pop-up list. These are available for editing (can alternatively be set so that editing is not permitted through F12: Configure). Otherwise, select a new number to input order details at this point.

Location
If you have more than one location, you must specify the location to which this item relates. The List of Locations will pop up to enable you to specify the location quantity, rate and amount for the item. You can give multiple locations.

Batch Number
If batch number is enabled in F11: Features, the batch number can be given in the locations sub-screen. Select a batch number from the List of Active batches batch numbers, or give a new number for a new batch.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Mfg. Date
The Manufacturing Date appears only if it has been activated. Specify the date of manufacture. This enables you to set expiry date for the batch as a period from the date of manufacture. For example, three months from the date of manufacture.

Expires on
This field appears only if it is enabled. Enter the date of expiry or a period from the date of manufacture. If you have disallowed the use of expired goods for the Item, you cannot issue them after the expiry date.

Quantity
You can set Company Features to allow Actual and Billed Quantities. You have to enter both quantities here. The actual quantity updates stock and the billed quantity affects the accounts. Give the quantity either in the main unit or the alternate unit. You may even specify quantities in both units. For example, 100 bars=150 Kgs.

Rate
Specify the rate for the stock item. If you have entered Standard Rate for the item, the voucher will pick the relevant standard rate for that date by default. You can modify it while entering the voucher.

Per
In this field, you can enter the unit of measure for the quantity of the item. This can be the main unit or even the alternate unit.

Amount
The quantity multiplied by the rate per unit will be the amount.

End of List
In all multiple allocations or selections, you should either select the option End of List or press Enter at the first blank field. This will accept the multiple allocations and take you back to the parent screen. For example, Multiple locations, batches or items.

Narration
Here, you can type appropriate information for the transaction.

Creating a Stock Journal

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

A Stock Journal is used to transfer materials or stock from one location to another location. Stocks can also be shown as consumed. It can only be produced without consumption and production. Hence, it is not like other journals where debits and credits match. You can specify quantities that are moved, their rates and amounts. If standard rates are entered in the Stock Item masters, they will appear. In the target location, you can specify additional costs incurred without actually affecting accounting at all. Only the stock value goes up. Hence, it is technically correct where an expense incurred on production or inward has been accounting for in the cost of that item.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
1. Go to Gateway of Tally >Inventory Vouchers 2. Select the button F7 : Stk Jrnl from the button bar or press Alt+F7

To create a Stock Journal Voucher

1.

The Stock Journal Screen has three parts 1. 2. 3. The part at the top accepts general information. The left-hand side accepts the Source Godown or Consumption Part. The right-hand side accepts the Destination Godown or the Production Part.

You must furnish the common information required in the field that appears at the top. You may elect to give information for only the left or the right part or both. More: Common Information

Common Information

Reference, date and voucher number
Reference field will be displayed if this is option is activated for the PRO BY THETA-SOFTWARE UNREGISTERED VERSION OF CHM TO PDF CONVERTER voucher. Give a reference number, if required. Voucher number depends upon the settings in Voucher Type.

Source (Consumption)
Select the name of the Stock Item and the Godown from which it moves or where it is consumed as well as the Quantity, rate and amount. If the rate is specified in the Stock Item master, it will be displayed when you indicate UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE the Item name. Note: The effect of entry in this part is to reduce stock of the Items specified.

Destination (Production)
Mention the name of the item and the Godown to which the item is moved. It is not necessary that the Item names should match the names in the source part. This is because a totally new Item could be produced out of the materials consumed. You can specify the rate of the Item, Quantity and amount. If the rate is specified in the Stock Item master, it will be brought up when you indicate the Item name. N o t e : The specified in effect this of entry part. in the Destination Part is of increasing the stock of the Items

Additional cost details
This is another interesting facility is available for the Destination Godown (Production). You can specify what additional costs were incurred in moving goods to the Godown or for producing them. Though these costs are strictly accounting heads, they do not get posted in the relevant nominal ledger accounts but add to the cost of the Item. In the target Godown, you can specify additional costs incurred without actually affecting accounting. Only the stock value goes up. Hence, it is technically correct where an expense incurred on production or inward has been accounted for in the cost of that item. After entering the amount for an Item, the following Additional Cost Details entry box pops up.

You may specify additional costs for transferring or producing the item. The typically additional costs are wages, power, freight and so on. Ensure that you have ledger accounts opened for the additional costs. Moreover, additional costs entered for the ledgers, do not reflect in the relevant ledger with the amount but only add to the cost of the item.

Percentage (%-age)

You can specify the additional cost in percentage of the cost of the item, in which case enter the number, for example, 2 for 2% of the cost of the item. You may, alternatively, skip the percentage field and input an amount directly.

Actuals
This displays the total additional cost for the item and the effective cost per unit of item/product produced.

Bill of Materials

A Bill of Materials is a list of constituent items along with quantity details that can be allotted towards manufacturing a certain product, by-product or likewise. This facilitates immediate reduction in stock of the item automatically. This process of listing the items that make up another item is made possible in Tally by enabling the Bill of Materials Facility. UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Enabling Bill of Materials
This is useful for manufacturing organisations and can be set up through F12: Configure. The Bill of Materials option now appears in the Stock Item Creation screen only after entering a unit of measure in the Units field. Go to Gateway of Tally > F12: Configure Select Accts/Inv Info from the Configuration Menu Set Allow Component List Details (Bill of Materials) to Yes

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
1. 2. 3.

A Bill of Material should be available while manufacturing an item. This is done through a stock journal. It is advisable to create a new voucher type, say, Mfg Journal which is based on Stock Journal.

More: Stock Journal as Manufacturing Journal Creating a new Manufacturing Journal Creating a Bill of Material Input fields Advanced Usage

Stock Journal as Manufacturing Journal

Stock Journal vouchers have an option Use as a Manufacturing Journal, in the Voucher Type Creation screen which has to be set to Yes .

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
1. 2. 3. 4. Go to Gateway of Tally Select Accounts Info. > Voucher Types > Alter Select the Stock Journal Voucher from the Voucher Types Set the option Use as a Manufacturing Journal to Yes

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

When you use a Stock Journal as a Manufacturing Journal, the Stock Journal voucher entry screen will be modified to accept Name and Quantity of the product being manufactured, its list of components and additional costs of

manufacture associated with it. For an end-product item, if you have specified a bill of material that contains the list of components, this list will be brought up automatically and filled in for the quantity of the end product.

Creating a New Manufacturing Journal

T o create a new Manufacturing Journal

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
2. Select Inventory. Info > Voucher Type > Create

1. Go to Gateway of Tally

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Name
Give a new name to the voucher type, for example, Manufacturing Journal.

Type of Voucher
This must be Stock Journal. Select it from the pop-up list.

Abbr.
Enter a suitable abbreviation. For example, Mfg Jrnl. This is the abbreviation to the voucher type name.

Use as a Manufacturing Journal
Set this option to Yes . For more details on voucher type refer Create a Voucher Type .

Creating a Bill of Material

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Let us create a new Stock Item Television Flatron and specify its BoM. Go to Gateway of Tally > Inventory Info. > Stock Items > Create The Stock Item Creation screen is displayed below.

Bill of Material (BoM) is created only for those items that are being assembled in-house. For trading items, you do not need a BoM. Therefore, you need to specify a BoM at the time of creating a Stock Item or when altering its master.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Some information like Batches, Alt. Units etc. depend upon the company features, configuration and invoicing setup. For details on fields other than Set Components (BoM) refer to the Stock Item Creation section under Inventory Information. The difference for India/SAARC would be in the field Rate of VAT and MRP/Marginal.

Set the option Allow Component list details (Bill of Materials) to Yes in F12: Configure . A pop-up list for the components appears which has to be entered as shown below.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Unit of Manufacture
Specify the appropriate number of the finished product items that will be made. While manufacturing and recording through a stock/manufacturing journal, record the item in multiples of this unit of manufacture. The components are multiplied by the same factor automatically. You are allowed to alter the components to reflect actual consumption, if there is a change from BoM. N o t e : Under certain circumstances, it is example, per 1000 Pcs of nails, as raw insignificant. better to give a larger unit material consumed for 1 piece of of manufacture, nail is for

Item, Godown (Location) and Quantity
Enter the component name and quantity. If there are multiple Godowns or Locations, specify the storage location for the item. Enter the options for all appropriate fields for the stock item and accept the screen.

Manufacturing Journal Entry
1. 2. Go to Gateway of Tally > Inventory Vouchers Select the button F7 : Stk. Jrnl or press Alt + F7

1. 2.

If you are creating a new voucher type Manufacturing Journal, a pop-up menu is displayed with the options default Stock Journal and Manufacturing Journal.

Select Manufacturing Journal and the following screen will be displayed.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Input Fields

Reference Number
Enter a reference number, if required.

Name of Product
Enter the name of the Stock Item to be manufactured.

Location
Enter the location where the Item is manufactured. This location will show the stock.

Qty
Enter the quantity of the item to be manufactured.

Component (Consumption)
The component list for manufacturing the product and the proportionate quantity of each component (based on the quantity specified for the product in BOM) is produced. For each component, the default location is given as specified in the BoM. The entire component list can be altered, components added or removed and locations amended. N o t e : Any this product. Stock Item change If you master made during this entry will not affect the original Bill of Material for want to make permanent change to the Bill of Material, alter the information of the product.

Cost of components
The base cost of the components are automatically added and displayed on the screen.

Additional cost components
Specify additional costs for producing an item. These are typically wages, power, and freight. Creating ledger accounts for the additional costs is a must. Moreover, additional costs entered for the ledgers are not reflected in the relevant ledger with the amount, but these additional costs only add to the cost of the item.

% age
Additional costs can be entered in terms of percentage of cost of components, for example, 2 for 2% of the cost of components. You can also skip the percentage field and enter an amount directly.

Total additional cost
This field displays the total additional cost for an Item.

Effective cost
This is the sum of the total cost of components and additional costs.

Effective rate
Effective cost per unit of item/product produced.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Advanced Usage

Stock Journal or Manufacturing Journal can be created directly while creating a sales invoice. This is very helpful in situations where the manufacture has not been recorded but the invoice is prepared. While creating an invoice, place cursor at the quantity field of the Stock Item (manufactured product), press ALT+V to bring up the Manufacturing Journal screen for the product/item. Once the details are entered, you are brought back to the next field in the invoice screen. The manufactured product is invoiced and the corresponding list of components reduced from stock in a single transaction entry. Thus, the item would be manufactured, its components reduced from stock, and also invoiced in a single transaction entry. ALT+V creates a new Stock Journal or Manufacturing Journal transaction voucher and is not to be used for allocation. If ALT+V is pressed again during alteration of the invoice, one more Manufacturing/Stock Journal will be created and it will not alter the previous Manufacturing Journal.

Alteration of Manufacturing/Stock Journal
To alter the Manufacturing/Stock Journal 1. 2. 3. 4. Go to Gateway of Tally > Display Select Inventory Books from the Display Menu Select Stock Item Select the required Manufacturing Journal screen

Or 1. 2. 3. 4. Go to Gateway of Tally > Display Select Statement of Accounts from the Display Menu Select Statistics > Mfg or Stock Journal Select the required Manufacturing Journal screen. Make necessary changes and accept the screen.

Checking the Vouchers Entered
To check the accuracy of the vouchers entered: 1. 2. 3. 4. Select Day Book from the Display Menu. Select F2: Period from the button bar and enter the period of display Select F1: Detailed from the button bar or press the keys Alt + F1

3. 4. Check the vouchers and if you find any error, position the highlight bar over the error and press Tally to display the voucher details for alteration. Enter for

Note: * It defaults to the current particular period. * The alteration facility is available for audit.

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Purchase and Sales Orders

Order Processing
Order processing is the placing of orders with suppliers for purchase to be made from them or receive orders from customers for the purpose of selling. In Tally, Order Processing is linked to Inventories. This allows tracking of the order position for a Stock Item. Using this you can track arrival of goods ordered and also whether the ordered Stock Item are delivered on time etc. You can create Purchase and Sales Orders in Tally. Purchase Orders (PO) can be created, printed and sent to suppliers. Goods received are linked with the POs and Invoices. Outstanding Purchase Orders should be monitored. Stock Summary displays order position of any item. The Purchase Order Book lists out all the Purchase Orders placed. Likewise, Sales Orders received are recorded in Sales Order Entry screen. These details will be available during Delivery Note and Invoicing. The order position in the Stock Summary can be viewed. The Sales Order Book lists all Sales Order received.

Enabling Purchase and Sales Orders
To enable Sales Order and Purchase Order vouchers, activate the following in F11: Features 1. 2. Set Allow Purchase Order Processing and Allow Sales Order Processing to Yes. Enable Use Tracking Numbers

More: Creating a Purchase Order Altering a Purchase Order Creating Sales Orders Altering a Sales Order View order position

Creating a Purchase Order

Purchase Order details depend on configuration settings.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Go to Gateway of Tally> Inventory Vouchers> F4 : Purc. Order

To create a Purchase Order :

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Party's A/c Name
Select the Supplier’s name from the List of Ledger Accounts . Use Alt+C to create a new account.

Order No
Enter the purchase order number. Configure the voucher type through Accounts Info > Voucher Types to set prefixes and suffixes for Purchase Orders. This particular Order No. field is an additional field to record order

number if it is different from the voucher number. The voucher number is automatically displayed here; it is also possible to change this number if needed.

Name of the Item
Select the Stock Item that needs to be purchased from the List of Stock Items . The Item Allocations subscreen is displayed. Enter the details as shown below.

Due on
Enter the due date for delivery of the item. This monitors outstanding deliveries. The order can be split for delivery on different dates. If the order is split, give the due date of the first lot to be delivered. After selecting the respective Godown and entering the Quantity, Rate and Amount , specify the due date for the second lot. If the whole lot is delivered at a time, press Enter in the Due on field to return to the Voucher Creation screen. The cursor then returns to the Item field once again. Now enter another item. If no other item is required, press Enter in the blank field to navigate to the next field. Press the space bar to display the List of Ledger Accounts. You can also specify other expenses like freight, tax to be charged if any in the Purchase Order. The Tax and Expense has to exist as a ledger account or it may be created using Alt +C

Location
This field should be entered with required details if multiple-location feature is enabled, otherwise it does not appear.

Quantity, Rate and Amount
Enter the quantity of the item required and its rate. The amount is calculated, but it can be modified to enable rounding off.

Additional Cost Details
E nter any additional cost incurred on the item here. This can be either entered as a percentage of the item cost or a fixed amount. If not, select End of List. Additional costs increase the value of the item, but they do not appear independently in the nominal ledger account or expense.

Next Item
The cursor comes to the Item field once again and you can enter another item to order. If no other item is required, press Enter on the blank field to take the cursor to the tax/expense field.

Expense/Tax
Once the item details have been entered, specify tax to be charged and other expenses like freight, if any. The tax

or expense has to exist as a ledger account if they do not exist, create it using Alt+C. Here, consider tax @ 17.5% that is charged on the item values. The order entry screen appears as shown below.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Narration
This field is optional. Enter necessary particulars about the order.

Altering a Purchase Order

To alter a Purchase Order Go to Gateway of Tally > Display > Day Book

Or Go to Gateway of Tally > Display > Inventory Books > Purchase Orders Book

Make the necessary alterations and save.

Delete a Purchase Order
To delete a Purchase Order press Alt+D in the Purchase Order alteration screen.

Creating Sales Orders

Sales order entry is exactly like the Purchase Order Entry. Sales Order details will also depend on configuration settings.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE To create a Sales Order:
Go to Gateway of Tally > Inventory Vouchers > F5 : Sales Order

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Party's A/c Name
Select the Customer’s name. Press Alt+C to create a new account.

Order No
The voucher number is automatically displayed. You can change this number if required. Enter the sales order number.

Name of the Item
Select the Item for which the order is to be placed from the sub-screen is displayed. Enter the details as shown below. List of Stock Items . Here, the Item Allocations

Due on
Enter the due date for delivery of the item. This enables monitoring of outstanding deliveries. The order can be split for delivery on different dates. If the order is split, give the due date of the first lot to be delivered and after selecting the respective Godown and entering the Quantity, Rate and Amount specify the due date of the second lot. If the whole lot is delivered at a time, press Enter in the next Due on field to return back to the Voucher Creation screen. The cursor returns to the Item field once again and you can enter another item to be sold. Press Enter on the blank field to take the cursor to the next field if no more items are to be entered. Press the space bar to display the List of Ledger Accounts . You can specify if there are any other expenses like freight or tax in the Sales Order. The Tax and Expense has to exist as a ledger account (if not, press Alt+C to create them). Select the respective ledgers to make the entries and save the voucher.

Location
In case multiple location features are active this field has to be mentioned. Otherwise it does not appear.

Quantity, Rate and Amount
Enter the quantity of the item required, and also its rate. The amount is calculated and can be modified to round it off.

Additional Cost Details
There are no additional cost details for sales orders. They exist only for Purchases as the values are added to the cost price. In case of sales, additional cost needs to be entered below the line along with tax.

Next Item
After completion of entering the first item, the cursor comes to Item field once again and you can enter another item to order. If there is no other item, press Enter in the blank field to take the cursor to the tax/expense field.

Expense/Tax
Once the item details have been entered, specify the tax to be charged and other expenses like freight, if any. The tax or expense has to exist as a ledger account or it may be created using Alt+C . Let us consider tax @ 17.5% to be charged on the item values. The Sales order entry screen appears as shown below.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Narration
T his field is optional. You can give some particulars about the order.

Altering a Sales Order

To alter a Sales Order Go to Gateway of Tally > Display > Day Book

Or Go to Gateway of Tally > Display > Inventory Books >Sales Orders Book

Make the necessary alterations and save.

Deleting a Sales Order
To delete a Sales order press Alt + D in the Sales Order alteration screen.

View Order Position

View the order position in Stock Summary. 1. Go to VERSION OF UNREGISTEREDGateway of Tally CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE 2. 3. Select Stock Summary Select the button F1 : Detailed from the button bar

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The screen shows the Particulars, Quantity, Rate, Value and Period . However, you do not know how much stock is on order both inward and outward. 1. Press Alt+ N or Auto-Column from the Button bar.

1.

You get the following menu.

2. Select Orders & Stock Details . Note: Set Remove Rate and Value to N o in F12: Configure

3 . This will enable all columns to fit in one screen.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

4. You may further drill down each column to view further the details. 5. In the Stock Summary screen, you can even bring up a new column using Alt+C.

6. Sales Order Reports can be accessed through Alt+F7 or Alt+C of the stock Summary. Note: reports Inventory Reports & Accounting Reports can also be accessed by pressing F9 or F10 (Accounting/Inventory Reports). through ALL other

Invoice Entry

Invoicing or sales invoicing is almost similar to sales voucher entry. You will use the same voucher but select As Invoice option to turn it into a sales invoice. Purchase invoices are recorded through normal Purchase Voucher entry and it does not have the provision of being converted into an invoice format for entry purposes. Similarly, you can print the Purchase voucher as a Purchase Invoice or even a Purchase THETA-SOFTWARE UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BYOrder. The advantage of using the invoice format for sales and purchase voucher entry is that it enables automatic calculations of taxes and duties. This is possible for only those groups for which Used for Calculation is enabled under the group Duties and Taxes. This is also possible for other groups for which the field Used for Calculation is enabled in the Group Creation screen. In recording both sales OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE UNREGISTERED VERSIONand purchase invoice details, you can adjust accounting and inventory balances account for Taxes simultaneously. and

The default invoice formats has various configuration options. Use them to print your invoices as per requirements. It is not necessary to create new invoice formats. It is recommended that you configure the default invoice as per requirements. You can also design a new invoice using Tally's Definition Language (TDL) Report Designer. TDL is quite an advanced language with which you can create new reports and screens. You can even modify existing reports and screens.

Settings for creating Sales and Purchase Invoice
1. Ensure that Allow Invoicing is set to Yes in F11: Features to create sales invoice. This brings up another option. Set Separate Discount Column on Invoices to Yes if you want a separate column for discounts in invoices. To create purchase invoices, ensure that Allow Invoicing is set to Yes and also Enter Purchases in Invoice Format is set to Yes in F11: Features. If you want a separate column for discounts in invoices, follow the procedure described above. Go to Gateway of Tally > Accounting Vouchers. Select either sales or purchase voucher. If you set Show Inventory Details to Yes in F12: Configure, all inventory details will be displayed on voucher screen. While creating Ledgers under the group Sales and Purchase Accounts, ensure that the option Inventory values are affected is set to Yes. If you want tax accounts (under the group Duties & Taxes ) to use automatic calculation, ensure that the Percentage of Calculation is entered (For example, 17.5) and the appropriate Method of Calculation is selected from the pop-up menu in the Ledger Creation screen. If it is to use Tax based on Item Rate, then the Stock Item must have the rate specified. For more details refer Ledgers.

2.

3.

4.

5.

More: Configuring the Invoice Printing Invoices and Vouchers

Configuring the Invoice

Before creating the invoice, you need to configure the invoice. 1. 2. Go to Gateway of Tally > Accounting Vouchers> F8: Sales/F9: Purchases (As Invoice) Select F12: Configure

Set the options as required. 1. Complete Accounting Allocations in Order/Delivery notes? Accounting allocations are not normally made during order recording or delivery notes. Yet you can set it to Yes if necessary. Allow modification of ALL fields during entry: Default order/delivery note entries appearing in the invoice can be changed during invoice entry. Set this to Yes to permit modification of all fields.

2.

Further, you can configure its printing as follows:

Go to Gateway of Tally > F12: Configure > Printing > Sales Transactions > Sales Invoice Invoice Printing Configuration appears as shown.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Set the print options as desired. You can configure the invoice as per your requirement. The options depend on the various F11: Features and F12: Configure options that have been set for your company and for the voucher either by you or by the administrator. In the above screen, the options are tuned to International settings. These will change if you opt for India/SAARC in the basic company settings. The details that you give during invoice entry depend very much on the configuration settings. Likewise, the details that you give during invoice entry depend very much on the configuration settings. Consider a typical invoice entry screen.

During invoice entry, some of the information will be selected from the separate pop-up screens. The invoice format is different from the normal sales voucher where the accounting information is the primary information and the stock information is secondary. In the invoice format, stock information is primary information and accounting information is the secondary.

Sales Voucher number
This number is controlled by the settings in the voucher type masters.

Date
Change date using [F2], when you need to.

Reference
This is an optional field. Give any reference particulars that can be later picked up using the range or filter mechanism. This has, traditionally, been used for tracking missing tax forms. Party's A/c name

Select the customer's ledger account. This account will be debited by the total invoice amount. You may select a party ledger (under the groups Sundry Debtors or Sundry Creditors) or even Cash or Bank Account (for cash sales). Party's other details This information is to be filled up in the secondary screen that pops up. You may have a different consignee name and address than the buyer (if configured for).

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Delivery Note No(s)
Select the Delivery Note number if there was any for the shipment, from the Pop-up List of Tracking numbers. This way you reconcile goods despatched with the invoice and financial records. Select Not Applicable if no separate delivery exists. The choice is required only if Tracking Numbers are active. More: UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Despatch, Order and Buyer Details VAT

Despatch, Order and Buyer Details

Enter the despatch details. These are printed on the invoice.

Order Details
The order particulars are entered here. If a prior order is recorded for the customer, a pop-up list of pending orders appears. Select the relevant order or orders. Raise an invoice against a single order or even multiple orders. Select New Number if no prior order exists for this invoice, but you want to record the order particulars. Select Not Applicable if not applicable. Select End of List to move to the next item.

Buyer's Details
The Buyer's Address as per the master records appears as default, but you may alter it. If you have configured to have the Consignee address as well as Buyer address, these details are also displayed. Accept or modify them as required. N o t e : The F e a t u r e s. location column appears only if Multiple Location is enabled in F 1 1 :

Inventory allocations
Enter the inventory items that need to be invoiced. Once you have selected the first item and the tracking number and you have multiple locations set up, a secondary screen appears for the item particulars.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Enter the quantity, rate and unit particulars. You can select more than one location from where the goods have been despatched. Press Enter at the first blank location field to accept the first item's allocation of location and other details. You now have to give the accounting ledger that will be affected for the sale of this item.

UNREGISTERED details Accounting VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Enter this information in the secondary screen that pops up after allocation of each item. Select the relevant sales account to be debited for the first item.

Where you have more than one Stock Item
Each item will require item allocation and accounting allocation. You must repeat the procedure till you have completed all the items for that invoice. Press Enter on blank item or select End of list to complete the cycle.

VAT/Tax or other expenses
These accounts are entered after the total value of stock items. Select relevant ledgers for the list. These are ledger accounts and will affect accounting ledgers. For accounts like VAT/Sales Tax that are under the group Duties & Taxes (or are otherwise specified as Calculate in invoice entry in their masters), the amounts are calculated automatically. Press Enter on blank item or select End of list when you have completed.

Bill Details
You must give bill-wise particulars, if the feature is activated for this particular party ledger. After you give the narration, accept the invoice.

Printing Invoices and Vouchers

To print any voucher or invoice, press ALT+P or click on the button Print. You can configure the voucher type to print automatically after saving the voucher.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

N o t e : You can configure the can give additional information, settings.

printing change

options titles,

by selecting the appropriate buttons. You print additional pages, change printer

The buttons Pre-Printed and Quick Format toggles for Plain Paper and Neat Format respectively. These are print specifications that you set. Pre-printed is for pre-printed stationery. Quick Format does not give fonts or other niceties but is ideal for fast printing. Select copies and give the number of copies to be printed, by default this is set to one copy. You can set the number of copies in Invoice Printing Configuration Go to Gateway of Tally > F12: Configure > Printing

View invoice as voucher and vice-versa
Once you create the invoice, you can view it as a voucher by simply displaying it and clicking on the toggle button [As invoice] / [As Voucher] or pressing CTRL+V. The same can be done with a sales voucher to be brought up as an invoice

Display/Alter a Voucher/Invoice
You can display a voucher or alter it (subject to authority), by simply drilling down any display screen. For example, from the Balance Sheet, press Enter on the group Sundry Debtors, then on the particular ledger, which brings up its monthly summary. Continue the selection process till you see the list of vouchers and then the voucher itself. You may to alter a voucher by going through the ledger display screen or the Day Book. N o t e : If you do not up for display only. have the authority to alter a voucher, the voucher would be brought

Advanced Voucher Entry

Advanced Accounting Vouchers

UNREGISTERED VERSION OF CHM TO PDF CONVERTERof Tally.BY THETA-SOFTWARE Advanced usage in voucher entry involves using more features PRO This would mean entering of
various pop-up and sub-screens depending on the context and configuration (both F12 and F11) settings.

data in

Bill-wise details
Bill-wise details are pertinent only for party accounts, viz., ledger accounts classified under Sundry UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Debtors, Sundry Creditors and Branch/Divisions. Activate Bill-wise details if you wish to track each invoice and adjust the bills and payments bill-by-bill. When you make a sales or purchase voucher with Bill-wise turned on, Tally prompts you to identify the invoice with an appropriate reference number. The reference can then be used to allocate payments to the correct invoice to maintain an accurate account of outstanding. Hence, Bill-wise details sub-screen comes up for party accounts during receipt/payment voucher entry or purchase/sale voucher entry or debit note/credit note entry. To activate Bill-wise details: 1. 2. Set Maintain Bill-wise details to Yes in F11: Features Set Maintain Bill-wise details to Yes while creating the respective Ledger Masters. Setting this option to Yes displays an additional option Default Credit Period. Credit Period is the number of days allowed to the Sundry Debtor to pay back or assigned to the Sundry Creditor to remind us of our payables. Specifying the period here is automatically reflected in the transaction. However it can be altered during Voucher Entry.

Note: relevant

Bill-wise details sub-screen does not only for accounting purposes.

appear

for

pure

inventory

vouchers.

It

is

Let us take an example of a Purchase Voucher where we credit the supplier XYZ Supplier with Rs. 2000. After the amount field, the Bill-wise sub-screen pops up. The sub-screen appears as shown below.

Type of Ref
Bill reference can be of four types: 1. 2.

1. 2. 3. 4.

Advance New Ref Against Ref On account

You must select one or more of these to adjust the amount. The amount can be broken up and given different Reference Numbers and different Due Dates. For example, the Rs.2000 can be split into two parts say Rs.500 and Rs.1500. Give Reference Numbers 5 and 6 respectively and specify Due Date as 31st May and 15th June 2005. Thus you have the option of adjusting the amounts with different reference numbers and different Due Dates.

Advance
This is relevant when the money is received or paid in advance. You can adjust this advance amount while making the sale or purchase entry.

New Reference
You select this for new transactions. For example, for a new bill raised on your customer or raised on you by your supplier. If you mark the bill as a new reference, it is added to the list of outstanding. In the field, you can give the voucher number, the reference number, or any alphanumeric set of characters that would identify the reference and help set it off later using against reference. You are not allowed to give the same name for two new references. In other words, new references must be unique.

Against Reference
Select this when adjusting against a previous reference, i.e., adjusting against a bill marked new reference. Mark a bill as new reference and adjust its payment by marking the payment against reference. When selecting against reference, a list of pending references (bills) for the party comes up from which you select. You may adjust the whole bill or part of it. The rest of the bill remains unadjusted. You can use Against Reference even to adjust advance with an invoice. You can do this when entering a purchase or sales voucher. If there are no pending bills, the option will not be available.

On account
On Account is selected when you are unable to mark a payment or a receipt against specific pending references. You need to do this in cases of lump sum payments where a number of bills are pending but you are not instructed against which bill the money should be adjusted. However, the user can alter the payment/receipt voucher and select the relevant Agst references Name In this field you can give the voucher number, the reference number, or any alphanumeric set of characters that would identify the reference and help set it off later using against reference. You are not allowed to give the same name for two new references. In other words, new references must be unique. Due date or credit days This is applicable for new reference. Give the credit period for the bill or the date when it is due for payment. Give either one of them and Tally will calculate the other. Amount This is the amount for adjustment. The amount given in the voucher automatically appears here. You can break up the amount and adjust it in several installments giving different references.

Dr/Cr Specify whether the adjustment is debit or credit. It is usually Dr for sales New References and Cr for Purchase New references. It is usually the same as the voucher entry. Maintaining Bill-wise details helps you to obtain information on Pending Bills, Bills Due, Overdue Bills etc and reports such as Outstanding Analysis and Ageing Analysis. To get these reports

UNREGISTERED VERSION OF CHM TO PDF CONVERTEROutstandings PRO BY THETA-SOFTWARE Go to Gateway of Tally > Display > Statement of Accounts >
Cost centre allocations Cost centre allocations will be relevant if you have opted for Cost Centres in F11: Features.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Go to Gateway of Tally > Accounts Info. > Ledgers. By allocating ledgers to Cost Centres at the time of voucher entry, you do away with the need to reconcile them. They are reconciled from that very moment. Hence, you save time and effort when you need to use the information for analysis. Cost Centre analysis is a powerful tool that enables you to know the performance of the Cost Centres. To display Cost Centre information Go to Gateway of Tally > Display > Statement of Accounts > Cost Centres. More: Cost Categories Inventory allocations Tracking Number Default voucher number and reference number Foreign Exchange transactions Zero Valued entries in vouchers

To display relevant ledgers

Cost Categories

Let us take an example: 1. 2. Create three Cost Categories named Departments, Executives and Projects. Create three Cost Centres named Marketing, Manufacturing and Finance under the Cost Category Departments. Create three Cost Centres Salesman A, Salesman B and Salesman C under the Cost Category Executives. Create three Cost Centres Airports, Roads and Buildings under the Cost Category Projects.

The structure for creating Cost Categories and Cost Centres are shown below:

Cost Categories: Cost Centres:

Departments Marketing Manufacturing Finance

Executives Salesman A Salesman B Salesman C

Projects Airports Roads Buildings

You can specify a Cost Category to allow allocation of only revenue items or items of both revenue and capital nature. In this example, allow allocation of items of both revenue and capital in nature for both Departments and Projects categories and items of only revenue in nature for Executives. Now, Salesman A incurs conveyance expenses. If he has incurred it for marketing, allocate this amount to the cost centres Marketing and his own cost centre Salesman A. (You would do it while entering a payment voucher debiting Conveyance and crediting Cash). If the salesman now incurs expense for the project Buildings, you would allocate to the Cost Centres Salesman A and Buildings. You may allocate an expense to one or more Cost Centres and it is not essential to always allocate to all Cost Centres. An expense can remain unallocated to other Cost Centres. In case Cost Categories are not enabled, you will be able to allocate the expense to either Buildings Cost Centre under Projects or Salesman A under Executives and not to both. In such a case, you would not obtain the third dimension. You may not have Cost Categories activated if you do not need to. Without Cost Categories, you will allocate the ledger amount to only one set of Cost Centres, and not to parallel sets. Hence, you would allocate the conveyance expense to Salesman A only and not to both Salesman A and Project Buildings. You can allocate the expense partly to Salesman A and partly to Project Buildings that adds up to the total amount. This information will not enable you to know how much Salesman A spent for the Project Buildings. Note: centres You do not allocate only. The concept transactions to cost categories is like group/ledger account you allocate them classification. to cost

Cost Centre allocations have to be done in pop-up sub-screens in the main voucher entry screen. The sub-screen pops up after the amount field pertaining to the ledger for which cost centres have been activated. Hence, the following is the sub-screen for the ledger Conveyance amount in a payment voucher:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Applying Cost Centres to Ledger Accounts
Activate Cost Centre for the Ledger Accounts that are used in voucher entry. In this example, make a payment voucher for the amount Rs. 1, 00,500. Hence, enable Cost Centres for the ledger Conveyance. 1. 2. 3. Go to Gateway of Tally Select Accounts Info > Ledgers>Alter Select the ledger Conveyance from the List of Ledgers . Set Cost Centres are Applicable to Yes. If the ledger Conveyance is not available create a new one with Cost Centres enabled.

3.

Cost Centre Allocation in Voucher Entry
The entire objective of creating Cost Centres is to allocate expenses and revenues to Cost Centres. Allocation is dynamic and done at one stage only, at the time of making voucher entries. For example, make a payment voucher for conveyance Go to Gateway of Tally > Accounting Vouchers > F5: Payment The voucher entry screen appears. Debit the amount to the Conveyance ledger. Cost Centre allocations have to be done in pop-up sub-screens in the main voucher entry screen. A sub-screen pops up after the amount field pertaining to the ledger for which cost centres have been activated. The sub-screen for the ledger Conveyance and in a payment voucher appears as shown below.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Inventory allocations

Inventory items need to be considered in financial vouchers where you use ledger heads that have the option Are Inventory Values affected? set to Yes. Similarly you will have the accounts of the type Sales and Purchases affecting inventory. When you enter a voucher (usually a Sales or a Purchase Voucher) a sub-screen pops up after the concerned ledger head and amount asking you to enter inventory item details. The inventory details that you give in an accounting voucher (like Sales and Purchase Voucher) affects stocks by immediately updating them only if Tracking Numbers are not activated in F11: Features. Otherwise, the inventory allocation tracks against Goods In or Goods Out notes through tracking numbers. The information that you need to give in the inventory allocation sub-screen depends upon the features enabled for the company. A typical inventory allocation sub-screen appears as shown below.

Name of Item
Select the item from the list of items or press ALT+C to create a new item.

Tracking Number

The tracking number pop-up list appears after you have entered the name of the item.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

A default list will contain the following:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

1.

New number – Enter a number, which is not in the list. You will use this number to reconcile, when making goods inward entry. Not applicable – If you do not want a tracking number. This may be resorted to in cases where you want to update stocks immediately with this entry and no goods inward entry will be needed. Not Applicable option is important and the cases where you would use it are:

2.

When you raise a sales voucher/invoice that accompanies the goods and you do not want to pass Goods Out entry. Not Applicable will update stocks without the Goods Out entry. When you send out samples for approval, where you do not want to raise an invoice. Likewise when you receive samples but no invoice will be forthcoming.

Default Voucher Number and Reference Number

The voucher number and the reference number of the current voucher are also listed and available for selection. Select the one that is easy to track later. By default the reference no. and the Delivery note number are highlighted in the receipt note and delivery note for tracking.

Pending Tracking Number
If you have a pending tracking number from a previous voucher, it will be listed here together with details like location, quantity, rate and amount. Select a pending tracking number to adjust that with the current voucher entry. This helps in the following situations. 1. When you pass a purchase voucher for an invoice that is towards a Goods Receipt Note that you had previously passed. (You would have given a new tracking number then). Likewise for a sales voucher/invoice.

2.

Location
If there is more than one location, you must specify the location to which the item relates. Hence, a sub-screen appears after the tracking number, to enable you to specify the location quantity, rate and amount for the item. You can give multiple locations. Batch Number In the locations sub-screen itself, the batch number can be given if batch numbers are activated in Company Features. Select a batch number from the list of existing batch numbers or give a new number for a new batch.

Mfg. Date
This appears only if it is activated. Give the date of manufacture. This enables you to set expiry date for the batch as a period from the date of manufacture such as “three months from the date of manufacture”.

Expires on
It appears only if it is activated. Give the date of expiry or a period from the date of manufacture. If, for the item, you had disallowed the use of expired goods; you cannot issue them after the expiry date. More: Quantity

Quantity

You have to enable the option Use different Actual & Billed Qty? to Yes in F11: Features to allow Actual and Billed Quantities. Then, you have to give both quantities here. The actual quantity updates stock and the billed quantity affects the accounts. Give the quantity either in the main unit or the alternate unit. You can even specify quantities in VERSION OF CHM 100 PDF CONVERTER PRO BY THETA-SOFTWARE UNREGISTERED both units. For example, TO bars=150 Kgs.

Rate
Enter the rate for the stock item. If you have entered Standard Rate for the item (Standard Cost and Standard Selling Price – see item master), the voucher will pick the relevant standard rate for that date by default. This can be modified while entering the voucher.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Per

Enter the unit of measure for the quantity of the item here. This can be the main unit or even the alternate unit.

Amount
The quantity multiplied by the rate per unit is the amount.

End of List
In all multiple allocations or selections, you must either be required to select the option End of List or press Enter at the first blank field. This would accept the multiple allocations and take you back to the parent screen. For example, Multiple locations, batches or items.

Foreign Exchange transactions

Enabling Foreign Currency
To enable Foreign Currency Set the option Allow Multi-Currency to Yes in F11: Features

N o t e : Only genuine bank accounts that are maintained in foreign have their currency set up in that foreign currency otherwise all preferably be set to home/base currency only.

currencies need to other ledgers should

Based on the above settings, consider a Purchase Voucher entry of an import transaction in foreign exchange and then a payment entry made from a Forex Bank Account. More: Example 1: Foreign exchange transaction of an import transaction. Example 2: Voucher entry of a forex bank payment

Example 1: Foreign Exchange Transaction of an Import Transaction.

In the purchase voucher 1. Enter the VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE UNREGISTEREDdate, voucher number and reference. 2. Ensure that you have created a supplier under Sundry Creditors with the foreign currency specified in the Currency of the Ledger field. Credit the supplier. In the Amount field, start with the foreign currency symbol to inform Tally that it is a forex transaction. In this case, type $ (base currency is £) and continue with the amount. $25000.

3. 4.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

5.

A forex sub-screen displays. Enter the exchange rate as per the bank or as mentioned on the purchase invoice. (Tally gives the default exchange rate mentioned in the foreign currency master). You can change the rate, if required. Alternatively, change the amount and the rate will be adjusted automatically. If you want to give only the base currency, clear the Forex field and Rate of Exchange field and mention the Value in base currency. The exchange rate will then be ineffective. In inventory item allocation, consider a purchase of 50 rolls of paper. You can give the rate of the item in base currency or foreign currency. To mention it in foreign currency, start the rate entry with the forex symbol. Tally converts it to the base currency at the exchange rate previously mentioned.

6.

N o t e : If you want to give only the base currency, clear the forex field and Rate of Exchange field and simply enter the Value in base currency. The exchange rate would then be ineffective. Of course, if you do not enter a foreign currency in the amount field, the amount is assumed to be in home/base currency.

Example 2: Voucher Entry of a Forex Bank Payment

It is assumed that the bank account ledger is maintained in foreign currency.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
1. 2. Enter the date and voucher number. Debit the supplier

In a payment voucher (bank payment):

3. In the amount field, begin with the TO symbol UNREGISTERED VERSION OF CHM forexPDF CONVERTER PRO BY THETA-SOFTWARE 4. You can debit the supplier with the same amount and exchange the rate as before or even change the rate to the current rate. Here, the rate is changed to the current rate. Notice the display of pending bills in foreign exchange when you are asked to adjust the payment against previous reference (it would come up if you have bill-wise outstandings activated). The forex gain or loss in the transaction is automatically calculated and is shown as unadjusted Forex gain/loss in the Balance Sheet. You can pass a journal entry affecting the profit and loss account with the forex gain/loss figure to bring it into the books.

5.

When you display ledger account of the supplier, you will notice that its account has balanced out but a forex gain has accrued on the transaction due to a rise in the exchange rate for the dollar.

Advanced inventory vouchers
There is no separate section on this. Normal inventory voucher entry includes a discussion on the advanced issues.

Zero Valued Entries in Vouchers

T o use zero values in vouchers, Set the option Allow 0 CHM entries CONVERTER PRO BY THETA-SOFTWARE UNREGISTERED VERSION OF ValuedTO PDFin Vouchers to Yes in F11: Company Features > Inventory Features

There is no point in having a voucher that is totally without value. Zero values are required in the following situations:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
1. One of the entries may not have a value but yet needs to be shown in the records.

Example : Zero-rated VAT or Exempt from Tax Account. You are permitted to make such an entry. The Exempt Ledger account can be viewed for all Exempt Sales. 2. Zero valued vouchers are possible for sales and purchase vouchers as these permit invoicing for free samples. A whole Voucher could be of zero value in only sales and purchase vouchers but this is not possible in receipt, payment vouchers and journal vouchers.

Example 2 - Invoice for Free Samples

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Display – Tally's Forte

Tally's Display of information is designed to allow a user get the maximum benefit of the data that is entered. A user gets a holistic picture of the data and is also able to present information using different options. The purpose of compiling data is to present it in comprehensible accounting reports. On entering the vouchers, Tally uses the same data and provides you with the management control reports in addition to all books and statements. The display screens of Tally are dynamic and interactive. They are not spooled print files but are specially designed for the screen. Whatever you see on the screen can be printed as well depending upon your printer’s capabilities. To view the Display Menu: Go to Gateway of Tally > Display The following screen displays

Gateway of Tally displays only the Balance Sheet and Profit & Loss Account directly as these statements are considered the most important. All the other Tally reports are classified into two broad categories, namely. Accounting reports and Inventory reports conforming to the two major areas of operations. Each area is further grouped into books and statements. The Cash and Funds Flow display too has not been grouped under Statements of Accounts. Trial Balance provides you a report on the account balances sorted by groups, for all the accounts of the selected company. In other words, the Trial balance displays a collection of main groups and their closing balances. The Stock Summary is a statement of stock-in-hand on a particular date and gets updated every transaction so as to provide the current stock position.

The Ratio Analysis Statement is a single sheet report indicating the company’s performance based on values and key indicators, over a selected period. This report gives a manager an idea of the company's financial condition and where it is going in the short-term. The Day Book contains all vouchers for the day, including inventory vouchers. Its purpose is to show you a day's transactions, though you can display a report for any period using Change period option. The List of Accounts gives the tree structure of all your masters, namely, Groups, Ledgers, Stock items, Cost Centers, Currencies, etc. Exception Reports are those reports that track unusual transactions or balances. More: Basic features of displaying reports Modifying reports UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Basic Features of Displaying Reports

Tally creates the books of accounts and the financial statements based on the vouchers entered till date. You can then customise the appearance of reports as required. For example, you can compare different companies, periods of the financial year, groups and ledgers. Press Enter after highlighting the item in a report, to navigate to the next level of detail till you reach an individual voucher. Similarly, you can navigate back to higher levels by pressing Esc. The special features available for a displayed report are indicated on the button bar, which can be operated by a single- click of the mouse.

Accessing reports
The Gateway of Tally menu provides access to all the financial reports listed in the Display Menu. For example, if you want to view the Sales Register, Go to Gateway of Tally > Display > Account Books > Sales Register . Tally will display the report for the currently selected period.

Modifying Reports

On selecting a report, the screen displays. Modify the display to suit your requirements using the appropriate buttons from the button bar.

UNREGISTERED the buttons using the keyboard, the conventions are: PRO BY THETA-SOFTWARE If you select VERSION OF CHM TO PDF CONVERTER
F (n) : - Press the F (n) key F (n) : - Press Alt + F (n)

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
N o t e : Here n is used as an example of a function key (Eg: F1,F2 and so on).

F (n) : - Press Ctrl + F (n)

(Alt + F1) F1 : - Detailed/Condensed
Adds a further level of detail to the report, or condenses the report.

F2: Period
You can change the period of the report by specifying From/To dates.

F3: Company
If you have more than one company selected, this button enables you to switch among them to display the new company data in the current screen format.

F4: to F10:
The functions performed by these buttons vary from report to report.

F11: Company Features
This button is not related to displaying reports but to setting the options that affect the voucher entry.

F12: Configure
This button is very relevant to displaying reports and enables you to define the report-specific options. For example, depending on the report displayed you can specify whether it should be in horizontal or vertical

format, show percentages, show gross profit, show opening and/or closing balances, change the periodicity, change the sorting method, and so on. For instance, if you want to view graphs with monthly reports: 1. Select the F12: Configure Button while in the Gateway of Tally screen and you will be taken to the Configuration menu. Select General and by default Show Monthly Reports with Graphs under Other Options is set to Yes . If this option is No set it to Yes .

2.

(Alt + F12) F12 : Range
This button enables you to filter the information displayed based on monetary values. For example, you can specify that you want Tally to display only Vouchers having Batch Names greater than $5,000 in a Day Book.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
(Ctrl + F12) F12 : Value
This button enables you to filter vouchers. For example, you can specify that you want vouchers having Employee-Attendance Entries with their Designation containing all the details about the employee.

New C olumn (Alt + C)
This button enables you to add and display another column in the report to compare information.

A lter Column (Alt + a)
This button enables you to alter the details of a new column added previously, for example, the date range. Select the column to be altered by positioning the cursor on it.

D el Column (Alt + d)
Use this button to delete the columns, which you no longer wish to have in the report.

Auto Column (Alt + n)
Use this button to add multiple columns to a report. For example, add columns for each month, or to accommodate other companies if more than one company has been selected. You can also have a total column.

Report specific options
Report specific options, if any are displayed at the bottom-half of the screen and can be amended as per requirements.

Display Account Books and Statements

B ooks of account

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Books of account record the transaction details as entered. Although items are posted too many different ledgers, Tally brings all the transactions of a particular category together into a book of account for viewing and printing. For example, Cash Book records all the transactions affecting cash and the Sales Book records all sales transactions.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Statements of Accounts
These pertain to cost centres and outstanding analysis . The Statements of Accounts are derived from individual transactions but are not statutory requirements.

Financial Statements
Financial Statements though derived from individual transactions tend to show summary totals, ratios and statistics, analyzing a company's financial data in a wide variety of ways. Financial statements include Balance Sheet , Profit & Loss A/c ,and Cash Flow Analysis and form part of the statutory requirements in most countries. 1. 2. All books are displayed as a monthly summary with opening and closing balances. Select a month and press Enter to display all transactions for the month. The opening and closing balances as well as the total of all transactions are displayed. Select a transaction to bring up the voucher. The voucher displays either in alteration mode or simply displays depending on your access rights.

3.

3.

Let us see some typical examples of how to display the books of account and financial statements. You will then be able to experiment with other statements for yourself. More: Viewing Cash/Bank Books Display Balance Sheet Display Profit & Loss Account Display Trial Balance Day Book Books and Registers Group Summary List of Vouchers Ratio Analysis

Cost Centre Reports Outstandings and Credit Control

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Viewing Cash/Bank Books

T o view the Cash/Bank Summary 1. Go to Gateway of Tally > Display > Account Books > Cash/Bank Book(s)

2.

If you have more than one bank account, select one bank account. Press Enter to display the Ledger Monthly Summary . Select F12: Configuration and activate the option Show with Graph to Yes .

3.

3.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
4. Highlight a month, press Enter and the Ledger Vouchers screen displays.

5.

4.

5.

All the vouchers for the selected month are listed. Press Esc to return to the Ledger Monthly Summary screen. Select F12 : Value to bring up the Value to Calculate in Report screen. a. b. c. d. e. Select Voucher Type from the Particulars menu. In the Particulars menu, select Narration . In the Range of Info. Menu select equal to . Type Contra in the next field and press Enter . In the Condition menu select End of List and press Enter twice.

6.

e.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
7. In the display of the Ledger Monthly Summary the figures are now reduced as they show only Contra vouchers. To check this, position the highlight bar over the July figures and press Enter to display the details. Press Esc until you return to the Gateway of Tally menu.

8.

Display Balance Sheet

The Balance Sheet is a report on the status of the financial affairs of a company at a given date. To view Balance Sheet: 1. Go to Gateway of Tally > Balance Sheet

2.

Press F12: Configuration and set the required parameters to display the Balance Sheet according to your preferences.

Note: entered

Balance Sheet and saved.

gets

updated

instantly

with

every

transaction

voucher

that

is

Horizontal Form of Balance Sheet
The Balance Sheet screen is displayed in the Horizontal form. See it in a Vertical form by activating Show Vertical Balance Sheet to Yes in F12: Configuration .

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Extract information from the Balance sheet using options available in the Button Bar. 1. 2. 3. Select F1: - Detailed/Condensed to explode the summarized information. Change the date of the Balance Sheet using F2: Period . Add up new columns and

Display a Balance Sheet for a different date to compare with current one

Display the Balance Sheet in a different currency

Display Budget figures and analyse the variances or

See the effect of different Stock Valuations on the Balance Sheet.

More: Configuring the Balance Sheet Integrate Accounts with Inventory

Configuring the Balance Sheet

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Show Vertical Balance Sheet?
Setting this field to Yes displays the Balance Sheet in Vertical form. In the British/Europe configuration, the Vertical Balance Sheet has Liabilities and Assets , whereas the Indian/Asian configuration , it displays Sources of Funds and Application of Funds .

Profit or Loss, both as Liability?
Set this to No , to move the Profit & Loss Account to the Asset side of the Balance Sheet. Note: This is applicable only in the horizontal form.

Show Percentages?
Each line will be expressed as a percentage of the total in the Balance Sheet.

Show Working Capital figures?
Set to Yes , to display Current Assets, less -Current Liabilities as shown

Method of Showing the Balance Sheet
The options are

Liabilities/Assets

Assets/Liabilities.

Format of the Balance Sheet:

For Horizontal Balance Sheet: Left Hand Side/Right Hand Side

For Vertical Balance Sheet: Top/Bottom.

Vertical Form of Balance Sheet
1. 2. Set Show Vertical Balance Sheet to Yes in F12: Configuration . Go to Gateway of Tally > F12: Configuration > General

UNREGISTEREDto Yes . VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Set Use accounting terminology of to India/SAARC or International under the Country Details

If you have activated India/SAARC the Balance Sheet will display Sources of Funds and Application of Funds .

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
If you have activated International the Balance Sheet will display Assets and Liabilities

Columnar Balance Sheets

Select a Balance Sheet for a different date to compare alongside the current one

Press N ew Column on the Button bar or ALT+C and change the period.

The following is a comparison of Balance Sheet dated 1st October and Balance Sheet dated 2nd October.

Press N ew Column on the button bars or ALT+C and change only the currency to display the Balance Sheet with figures in a different currency.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Show Quarterly Balance Sheet
To view a Quarterly Balance Sheet

Press Auto-column on the button bar or use the key ALT+N .

Select Quarterly from the list of periods.

The following screen displays

Integrate Accounts with Inventory

Effect on Balance Sheet and Profit & Loss Account

UNREGISTERED VERSION OF CHM TOF11: Features has a significant effect on the Balance Sheet and Profit & Integrate Accounts with Inventory in PDF CONVERTER PRO BY THETA-SOFTWARE
Loss Account.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

If Accounts with Inventory is set to Yes in F11: Features, it the stock/inventory balance figures are updated from the inventory records, which in turn enables you to drill down to the Stock Registers from the Balance Sheet.

If the option Accounts with Inventory is set to No in F11: Features, the inventory books figures are ignored and closing stock balances are entered manually.

Note: Stock records often contain compensating errors caused by wrong allocation to items. This feature of Tally enables the finalisation of financial books without waiting for reconciliation of stocks that might take time.

Display Profit & Loss Account

The Profit and Loss Account shows the operational results over a given period. It lists out the Incomes and Expenditures based on the Primary Groups of Tally and the Profit & Loss Account in Tally is updated instantly with every transaction voucher that is entered and saved. To view the Profit & Loss Account Go to Gateway of Tally > Profit & Loss Account

N o t e : The it in F12:

Profit & Loss Configure.

Account

is

displayed

according

to

the

configuration

set

up

for

Horizontal Form of Profit & Loss Account

The sample screen shown is in horizontal form which is the default display. You can also set it up to display in vertical form.

Using options in the Button Bar
1. Select F1: - Detailed/Condensed to display more information or condense.

2. Change the date of UNREGISTERED VERSIONthe Profit & Loss Account using F2: Period . OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE 3. Add new columns to

Display a Profit & Loss Account for a different period to compare with the current one

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Display the Profit & Loss Account in a different currency

Display a column with Budget figures and analyse variances

See the effect of different Stock Valuations on the Profit/Loss account.

Select and compare Profit & Loss of different companies.

More: Configuring the Profit & Loss Account Income/Expense Stmt instead of P&L?

Configuring the Profit & Loss Account

Show Vertical Profit & Loss?

The Profit and Loss Account will be displayed in the Horizontal (default) form if you set the option Show Vertical Profit & Loss? to No .

Set to Yes to display in the Vertical form.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The Vertical Form shows the Trading Account and the Income Statements separately.

Show Percentages?
Each line is expressed as a percentage of Sales Accounts , i.e., if you consider Sales Accounts to be 100%, the rest of the lines would be a percentage of Sales Accounts.

Show With Gross Profit?
If the option Show With Gross Profit? Is set to Yes the Profit & Loss Statement is split to show Trading Profit, which considers only the Cost of Sales and Direct Expenses., Indirect Expenses are deducted from the Gross Profit to show the Nett Profit.

Note:

This

field

is

applicable

only

to

Horizontal

Form

of

Profit

and

Loss

Account.

Columnar Profit & Loss Account: Some Examples
Select a column to display the Profit & Loss Account in a different currency.

Press New C olumn on the button bar or the keys ALT+C and change only the Currency and give the closing Exchange Rate.

The Profit & Loss Account figures are converted at this rate.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Select a column to display the Profit & Loss Account with a different stock valuation method.

Press New C olumn on the button bar or the keys ALT+C and change only the Stock Valuation Method to Last Purchase Cost.

The Profit and Loss screen will be displayed as shown

Show Quarterly Profit & Loss Account
Press Auto-column on the button bar or the keys ALT+N . Select Quarterly from the list of periods. The Profit and Loss screen will be displayed as shown:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Income/Expense Stmt instead of P&L?

A ccount statements for Non-Trading Organisations
For Non-Trading accounts (e.g. Accounts of Charitable Organizations), the Trading and Profit & Loss Statement are inappropriate. In such cases, you may use Income & Expenditure Account by setting to Yes in F11:Features . The Income & Expenditure Statement displays as shown. Income/Expense Stmt instead of P&L

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Display Trial Balance

Trial Balance is a report of all account balances for the company sorted by groups, i.e., it is displayed in a grouped form, comprising main groups and their closing balances. You can see that the debit and credit balances match. In Tally, the matching of the Trial Balance is a foregone conclusion since all voucher entries are in Debit - Credit format and must balance at the entry point. To view the Trial Balance Go to Gateway of Tally > Display>Trial Balance Note: As per accounting principles, the Trial Balance does not list Closing Stock.

Select F1 : Detailed to break down the grouped information or simply drill down a Group for further detail.

The screen appears as shown

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Select F5: Led-wise to list all ledgers and their closing balances.

The screen appears as shown

Select New C olumn to bring up the closing balances for another date.

The screen appears as shown

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

More: Account Reconciliation Statement

Account Reconciliation Statement

This report shows the flow of the accounts from Opening Balance to the effect of transactions on Closing Balance.

Select F12: Configure and set parameters as shown

The Trial Balance Reconciliation Statement is as shown

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The Trial Balance can also be configured to show only Opening and Closing Balances.

Day Book

To view the Day Book Go to Gateway of Tally > Display>Daybook The Day Book lists all transactions made over a particular day and by default displays the last voucher entry date of a regular voucher. It could also be set up to list all the transactions made over a period. Press F2 : Period on the button bar or press the keys Alt+F2 . All the transactions include all financial vouchers, reversing and memorandum journals as well as inventory vouchers. Consider an example:

Day Book for current date

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Day Book for a period

You can also filter the list so as to display the transactions of a particular voucher type using F4: Chg Vch button from the button bar. The screen appears as shown:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Books and Registers

The objective of having books and registers in Tally is to pile up similar entries into a single entity so that they are meaningful, e.g., all cash entries in the Cash Book, all sales entries in the Sales Day Book (called Sales Register).

The Tally transaction flow
Apart from the subsidiary books, entries are also filed under each Voucher Type. Therefore, there will be as many registers as there are voucher types. More: Journals, Day Books and Registers Sales Register (Sales Day Book) Invoice Profitability Columnar Sales Register Registers from Statistics Monthly Summary

Journals, Day Books and Registers

Journal, Sales Register, Purchase Register, Debit Note Register, Credit Note Register, Payment Register, Receipts Register, etc. are the different kinds of Registers. There are three ways to view various TO of registers: UNREGISTERED VERSION OF CHMtypes PDF CONVERTER PRO BY THETA-SOFTWARE 1. 2. From the Display menu By changing the type of voucher from within a register

UNREGISTEREDthe Statistics OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE VERSION page 3. From
Consider the Sales Register which includes most of the options.

Sales Register (Sales Day Book)

Go to Gateway of Tally > Display >Account books > Sales Register The following screen displays.

By default, all registers display Monthly Summary with transactions and closing balances. For Balance Sheet Accounts, opening balance is displayed at the top of the screen. Select a month and press Enter to see the Sales Voucher Register. A list of all sales vouchers pertaining to the month you selected displays. You can use the options in the button bar to change the display according to your preferences. You can change the period of the report as well as the depth of information. Use F12: Configure to see the report with some or all of the following information, namely Narrations, Bill-wise details, Cost Centre details and Inventory details.

Click on F1 : Detailed to view the reports in detailed format.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Invoice Profitability

Display the Sales Voucher Register for a period by drilling down a month and change the period if required. Select F7: Show Profit or activate the option Show Gross profit estimates to Yes in F12: Configure

The report now displays each invoice with Transaction Value - Invoice value including taxes Gross Revenue – Actual sale value minus taxes Cost – Book cost of the product Gross Profit – Amount of profit or loss on the sale

Extract of Sales Register
When you are in the Sales Voucher Register, select F6: Extract from the button bar. The following screen displays.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The Extract gives a break-down of the sales vouchers and groups them to provide totals for each group and ledger used in all sales vouchers for the period. The information is useful, when you want to know how much each group of customers bought, what is the tax component or what is the total value of each sales ledger.

Inventory-wise Extract of Sales Register

In the Sales Voucher Register select F6: Extract from the button bar

Go to F12: Configure .

Set Show Inventory-wise Extract to Yes to view the report of the stock items sold along with the details

on quantity and value.

The following screen displays.

Columnar Sales Register

Select the option F5: Columnar from the button bar, in the Sales Voucher Register screen.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The following screen displays.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Set the options listed to Yes or No depending on how you want the Sales Register to display

Type of Column
Select the type of column from the screen.

If you select Ledger or Group as Type of Column, you are provided with one more list for choosing the ledger/group. Your choice is displayed under Name of Account .

All Items (automatic columns)
If this option is set, every ledger account will use a column space

All Item (in one col.)
If this option is set, all the ledger accounts are displayed in one column.

Group
You can also select a group of ledger accounts to be displayed together in one column, e.g., Sales accounts. For other columns, you can use the additional options, namely Related accounts (automatic columns) or Related Items (in one col.).

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Ledger
Select a specific ledger account e.g., VAT/Sales Tax. All other accounts can be UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY put in one or more columns. THETA-SOFTWARE

Related Items (automatic columns or in one column)
Related items means all the ledger accounts used in a voucher. Hence, the report will be similar to All Items (automatic columns). This option is helpful when used in conjunction with a Group or a specific ledger account in the first column.

Chg Vch
Use this button to view a different register from within an existing register. E.g. If you are in Sales Register and want to view the Payment register, press F4: Chg Vch and select Payment .

Payment Register

Registers from Statistics

To access the Voucher registers from the Statistics page:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
The following screen displays.

Go to Gateway of Tally > Display >Statements of Account > Statistics

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Drill down a specific type of voucher to view the details.

Monthly Summary

When drilling down from a statement into any Group, Ledger, Stock item or Cost centre the screen displayed first is the Monthly summary. Monthly Summary can also be accessed from a voucher level screen with the help of the button Monthly . The monthly summary shows the opening balance for the year, and then lists each month's total transactions, inclusive of both debit (inwards for stocks) and credit (outwards for stocks) and finally each month's closing balance. Below the monthly summary, is a bar chart showing the movement of account. Use F12: Configure to display the monthly summary according to your requirements. The options available on the button bar are very useful for configuring managerial reports. E.g. Use the New Column button to bring up the Monthly Summary of another ledger or object or the same object in another company. Press the button F5 : Quarterly , to view the summarized quarterly figures. Use the options in F12: Configure to view the details on percentages, averages and so on.

Ledger Voucher Monthly Summary
The Ledger Voucher Monthly summary screen is displayed as shown.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Cost Category Monthly Summary
The cost category monthly summary is displayed as shown. You can place the cursor on any particular month, say October and drill down for more details.

Stock Item Monthly Summary
The screen will be displays as follows. If you want to view the details for any particular month you have to place the cursor on the month and drill down.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Group Summary

Go to Gateway of Tally > Display > Account Books > Group Summary> Group name for e.g. Duties and Taxes The following screen displays.

The Group Summary Statement shows the closing balances of the accounts falling under the selected group over a period. Using the buttons provided on the button bar, you can change the view to any of the following: Detailed, Individual Ledger account listing for the selected group, monthly summary, columnar display for comparison and analysis. An example is given below:

Led-wise Display of Group Summary
To view the Led-wise Display of Group Summary select F5: Led-wise from the button. This toggles with the button Grouped .

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

List of Vouchers

Vouchers or transactions of a similar nature or type entered over a period are collated and listed together to present meaningful information. There are different types of voucher lists, e.g., Group Vouchers, Ledger Vouchers, Stock Vouchers, Godown/Location Vouchers, etc... More: Group Vouchers Ledger Vouchers

Group Vouchers

To view the Group Vouchers

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
The following screen displays.

Go to Gateway of Tally > Display >Account Books > Group Vouchers> Group Name e.g. Current Assets

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Group Vouchers is a list of all vouchers having at least one ledger account entry belonging to the group selected. This statement is useful when you want to list all transactions for a particular group.

Ledger Vouchers

To view the Ledger Vouchers Go to Gateway of Tally > Display > Account Books > Ledger > Ledger account e.g. Machinery account The list of vouchers for the current month is displayed. You may also access Ledger Vouchers by drilling down from different statements, such as Group Summary and Monthly Summary.

Ratio Analysis

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
To view the Ratio Analysis screen Go to Gateway of Tally> Ratio Analysis The following screen displays.

The Ratio Analysis Statement is a single sheet performance report for a selected period. It provides you with important values and key performance indicators. It is one report that top management needs to look at periodically to assess the company's financial health and where it is going in the short term.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The Ratio Analysis screen is divided into two parts:

Principal Groups

Principal Ratios

The Principal Groups are the key figures that give perspective to the ratios. Principal Ratios relate two pieces of financial data to obtain a comparison that is meaningful. More: Principal Groups and key figures Principal Ratios Payment Performance of Sundry Debtors

Principal Groups and Key Figures

Working Capital
The Net Working Capital OF CHM by subtracting Current Liabilities BY Current Assets. Financial UNREGISTERED VERSION is calculatedTO PDF CONVERTER PRO from THETA-SOFTWARE Analysts often consider the total Current Assets as the Working Capital. This serves as a measure of how far the firm is protected from liquidity problems.

Cash in Hand and Bank Balances

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Sundry Debtors
(due till today) The total debtors and debtors that are due as on the date of the statement, are displayed

This data presents another perspective on the liquidity position

Sundry Creditors
(due till today) The total creditors and creditors that are due as on the date of the statement are displayed.

Sales and Purchase Accounts
The Sales and Purchase Accounts, which collate the trading activity for the period, are displayed.

Stock in Hand
This field displays the stock in hand as on the date of the report and together with Cash and Bank Balances and Debtors, complete the Current Assets aspect of the Working Capital.

Nett Profit
This is derived from the Profit & Loss Account and is the profit after direct and indirect expenses.

Wkg. Capital Turnover
(Sales Accounts/Working Capital) This is an activity or efficiency ratio that shows the number of times the working capital has been rolled over during a particular period. It depicts how effectively the firm is using its working capital.

Inventory Turnover
(Sales Accounts/Closing Stock) This is an activity or efficiency ratio that shows the number of times the stock has been rolled over during the period of the report. It depicts how effectively the firm is using its inventories.

Principal Ratios

You can compare Principal Ratios of your company over a period with industry averages as well as with ratios pertaining to other periods to assess current performance.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Current Ratio
(Current Assets: Current Liabilities) Known as the liquidity or solvency ratio, this is the most frequently used for assessing the company’s capability of meeting its short-term obligations. More specifically, it elucidates a firm's ability to cover its current assets with UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE current liabilities.

Quick Ratio
(Current Assets-Stock in Hand: Current Liabilities) Known as Acid-Test Ratio it concentrates on the liquid part of the current assets, leaving out the closing stock. It used to measure a firm's ability to meet its current obligations. Stocks and inventories are the least liquid of all current assets and if current assets comprise a high proportion of inventories, a firm may be considered less solvent.

Debt-Equity Ratio
(Loans (Liability): Capital Account + Nett Profit) This is a gearing ratio that shows the extent to which long-term debt is helpful in financing the firm and shows the proportion of borrowed funds to owners' equity. The lower the ratio, the greater the amount of funds invested by the owners. If the ratio is high it indicates that the borrowed funds are more than the own funds of the firm, which makes the firm less credit-worthy.

Gross Profit %
This represents the trading profit exclusive of indirect expenses and tax deductions, expressed as a percentage of total sales. It measures the efficiency of a firm's operations and indicates how products are priced.

Nett Profit %
This is the profit inclusive of all expenses (direct and indirect) except tax deductions, expressed as a percentage of total sales. It is a more specific measure of the efficiency of a firm's operations. Both Gross Profit % and Nett Profit % put together provide an insight into a firm's operations and the role played by direct and indirect expenses.

Operating Cost %
(as percentage of Sales Accounts) This is the total cost inclusive of direct and indirect expenses except for tax deductions, expressed as a percentage of sales. A high ratio shows that even a slight rise in costs would be risky and might necessitate increase in price.

Receivable. Turnover in Days
(payment performance of Debtors) It is an efficiency ratio that measures the quality of a firm's receivables and determines how successfully the firm collects its debts. Receivable Turnover days is a figure that gives us the average number of days for which the receivables are outstanding. It must be compared with the average credit policy of the firm.

Computation of Receivable. Turnover
Recv. Turnover in Days = (Closing Balance of debtors/Total Sales)*Number of Days

Return on Investment %
(Nett Profit/Capital Account+Nett Profit) % Nett Profit is the profit after all expenses but before deduction of taxes. This is a profitability ratio that an investor is most interested in. The investor needs to know how much is earned on each dollar invested. If the investor finds other avenues that give better returns, he will move his money out of the firm.

Return on Wkg. Capital %
(Nett Profit/Working Capital)% This is another profitability ratio that ignores sunk costs in Fixed Assets and assesses how profitably a firm uses its net current assets.

Payment Performance of Sundry Debtors

Payment Performance of Debtors (Receivable Turnover in days) is the average time the customers take to actually pay their bills irrespective of the outstanding balance on the statement date. It is quite possible that the receivable turnover is low and the payment performance is high indicating that the customers cleared their UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE outstandings, but took a long time doing it. To get group level and customer level performance reports and a detailed position of debt collection, you have to drill down from the ratios. Use a customer statement that shows both the receivable turnover in days and the customer's actual payment performance.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The Ledger Payment Performance statement displays the receivable turnover in days as., 66.19. This is the balance outstanding in relation to the total sales made multiplied by the total number of days in the period. This ratio should be used in combination with the Average Performance of actual payments and the payment history of the customer to assess how long he might take to pay the outstanding balance. The Actual payment history is given in the table for each invoice that was paid by the customer. It shows when

the invoice was paid, how long it was due and what was the delay in payment. At the bottom, the customer's average performance is indicated.

Cost Centre Reports

For conceptual information on Cost Centres and Cost Categories, please look up the relevant chapters under Accounts Information. Cost Centre VERSION OF CHM TO PDF reports that throw a different perspective on transactions. UNREGISTERED Reports are primarily performance CONVERTER PRO BY THETA-SOFTWARE access Cost Centre Reports Go to Gateway of Tally> Display > Statement of Accounts> Cost Centres N o t e : Set Maintain Categories a n d Job Cost Centres Costing for to Yes more in F11: Features. information. Refer Cost Centres , Cost To

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

More: Cost Category Summary Cost Centre Vouchers Cost Centre Break-up Ledger Break-up of a Cost Centre Group Break-up of a Cost Centre Job Work Analysis

Cost Category Summary

Go to Gateway of Tally > Display > Statements of Accounts > Cost centers > Category Summary Cost Category Summary displays the information on all cost categories to which you have allocated the voucher transactions.

You can create any number of cost categories apart from the Primary one, which is the default. Each Cost Category has cost centres listed under it. The names in italics are cost centres that do not have any sub-cost centres. The names that are in normal fonts are cost centres that have sub-cost centres under them. The debit and credit transaction totals and the closing balance for each cost category are displayed together with their breakdown consisting of cost centre summaries.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Cost Centre Vouchers

From the Cost Category Summary, drill down into a cost centre for monthly breakup of the figures.

Select a month to display the Cost Centre Vouchers pertaining to that month.

In the Cost Centre Vouchers use F2: Period to expand the date range if required and F1 : Detailed option to drill down to access the original voucher.

To display more detailed cost centre vouchers, set the required options in F12: Configure .

The Cost Centre Vouchers screen is also accessible from all other Cost Centre Reports but the vouchers

displayed are only those that relate to the currently selected cost centre.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Cost Centre Break-up

Cost centre Break-up shows the ledger accounts that are used in vouchers, the cost centre they were allocated to, their total transaction values and the balance. If you consider only the revenue accounts, the Cost Centre breakup becomes the Profit or Loss statement of activities for the cost centre, and hence a powerful performance statement. To access the Cost Centre Break-up screen 1. Go to Gateway of Tally > Display > Statements of Accounts > Cost Centers > Cost Center Breakup Select a cost centre, e.g. Octroi & Freight Expense (which belongs to the Primary Cost Category). Click F1 : Detailed to see the ledgers.

2. 3.

The report will look as shown

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Use the buttons on the button bar to view the report in the alphabetic order of ledger accounts. A columnar Cost-centre breakup enables comparison of two or more cost centres and assessment of their relative performance. Use New Column to bring up the data of another cost centre for comparison alongside. Drill down for further details.

Ledger Break-up of a Cost Centre

This provides you with another view of a cost centre report. It enables you to analyse the distribution of a ledger account across different cost centres. If you want to know the Conveyance Expenses incurred by different cost centres you need to view the Ledger wise break up of cost centres. 1. 2. Go to Gateway of Tally > Display > Statement of Accounts > Cost Centers > Ledger Break-up Select a ledger account, say for e.g. conveyance

The following screen displays.

The total Conveyance Expenses allocated to different Cost Centres under Primary cost category are listed. If you have more than one category it will also be listed. Use the buttons on the button bar to view the report in alphabetic order. The columnar Cost-Break up of Ledger allows you to compare how different cost centres makes use of two or more ledgers (e.g. expense accounts). Use New C olumn to bring up another ledger account, say, Sales . The report will give you how much each executive sold and how much he spent on running the motorcar. You will be able to judge their relative performance or even compare the data with that of another company.

Group Break-up of a Cost Centre

The Group break-up of cost centre gives you another view of a cost centre report by enabling you to analyse the distribution of a group (of ledger accounts) across different cost centres.

UNREGISTEREDto know how Indirect Expenses were incurred by different cost centres, this is the report that you If you want VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
need to look at. 1. 2. Go to Gateway of Tally > Display > Statements of Accounts > Cost Centers > Group Break -up Select a group account, say for e.g. Indirect Expenses

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
The following screen displays.

The total Indirect Expenses allocated to different Cost Centres under the Primary cost category is given. If you have more than one category it will also be listed. Use the buttons on the button bar to view the report in alphabetic order of group accounts. The columnar Cost-Break up of group accounts allows you to compare how different cost centres make use of two or more group accounts (e.g. expense accounts). Use New Column to bring up another group of ledger account, say, Sales . The report will give you how much each executive sold and how much was spent on running the motorcar. You will be able to judge their relative performance or even compare the data with that of another company.

Outstandings and Credit Control

Receivables and Payables
Receivables and payables are the two key components of any company's working capital as well as its business activity. Receivables are part of current assets, whereas payables are of current liabilities. Both influence the short-term liquidity and financing of the company considerably. Effective control of these outstandings is necessary for the company to be financially sound. To view the Receivables and Payables screen Go to Gateway of Tally> Display > Statement of Accounts > Outstandings The following screen displays.

More: Receivables (Bills Receivable) F12: Configure Bill-wise Outstandings report Payables (Bills Payable) Outstandings Report of a Single Ledger Account Age-wise Analysis of a Single Ledger Account Outstanding Report for a Group Age-wise Analysis for a Group Reminder Letters Reminder letters to a Group of ledgers

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Receivables (Bills Receivable)

To view the Receivables screen Go to Gateway of Tally > Display > Statements of Accounts > Outstandings > Receivables The following screen displays

This report displays all outstanding receivables invoice by invoice till date. Remember that this report takes into consideration only those accounts that have Bill-by-Bill option activated.

Date
This is the Effective date of the invoice and not the actual date. Hence, if your invoice date is 15 November but the effective date is 30 November, 30-Nov-05 will be displayed here. Credit period is calculated from effective date.

Reference Number
This is the Bill reference number that was entered in the Bill-wise Details.

Party's Name
The ledger name appears in this field.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Pending Amount
This is the outstanding balance on a particular invoice. To see the breakup, press SHIFT + ENTER . If you want to see the breakup of all the bills, select the Condensed . F1 : Detailed button. This toggles with the button F1 :

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Due On
This is the due date of the bill (with reference to the Effective date) specified during voucher entry.

Overdue by days
This is the period in days from the due date to the end date of the report. In the above example, the end date is 2-Apr-2005.

Drill-down
You can drill down any invoice for further details.

Buttons
Print the report or e-mail it or use other buttons to configure, make a query or change the format of the report.

F12: Configure Bill-wise Outstandings report

The F12: Configuration screen for Bill-wise Outstanding Report appears as shown below.

Include Post-Dated Transactions?
Post-dated transactions are those, whose voucher dates are after the end date of the period of display. If you set this option to Yes , you can have the post-dated transactions listed in the Outstandings report and learn their effect.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

In the above example, note that there is an additional column for Post-Dated Amount .

Show Bills in Foreign Exchange?
If this option is set Yes , the Bills Outstanding report will show only those bills raised in foreign currency. The bills raised in base currency will be excluded.

Show Over dues using Bill dates?
Set this option to Yes if you want to use the invoice dates instead of due dates for calculating overdue days.

The Age of Bill in days column shows the age of the invoices in number of days.

Age-wise Analysis
Select F6: Age wise from the button bar in the receivables screen. Select either the option Ageing by Bill Date or Ageing by Due Date for Methods of Ageing.

Set the age periods required for the report. You can drill down to query the individual invoices.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Age-wise analysis for a ledger account or group of accounts is discussed separately.

Payables (Bills Payable)

To view the Bills Payable screen Go to Gateway of Tally > Display > Statements of Accounts > Outstandings > Payables Note: Payables are treated exactly the same way as R e c e i v a b l e s.

F4: Payable in the Receivables screen helps you switch to Bills Payable report.

Outstandings Report of a Single Ledger Account

If you want to know the outstanding status of the bills of a particular party account, use the Ledger Outstandings Report.

UNREGISTEREDOutstanding LedgerCHM TO PDF CONVERTER PRO BY THETA-SOFTWARE To view the VERSION OF Account
1. 2. Go to Gateway of Tally > Display > Statements of accounts > Outstandings > Ledger Select a ledger from the list. The Ledger Outstandings report displays

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Detailed functionality available in this report, including F12: Configure and Age-wise Analysis is the same as that available in Receivables . You can produce Reminder Letters from the ledger Outstandings report.

Use the C ontact button on the button bar to view the address and other contact details.

Age-wise Analysis of a Single Ledger Account

1.

Go to Gateway of Tally > Display > Statements of Accounts > Outstandings > Ledger

UNREGISTERED the ledger account. 2. Select VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
3. Select F6: Age-wise and one of the two methods of Ageing.

Ageing by Bill Date

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Ageing by Due Date 4. Set the age periods required for the report.

The aged bills report is produced accordingly. Drill down for more details on the individual invoices.

Outstanding Report for a Group

1.

Go to Gateway of Tally > Display > Statements of Accounts > Outstandings > Group selected

UNREGISTERED a group fromOF CHM TOSundry CONVERTER PRO BY THETA-SOFTWARE 2. Select VERSION the list, e.g. PDF Debtors. The report displays the outstandings for the
group.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

You can tab down further into each account and configure the report using F12: Configure . You can view net amounts in this case to see the net balance outstanding for each ledger. For a group that contains sub-groups the button F5: Led-wise is useful. Note: The button F5: Led-wise toggles with Group-wise.

Age-wise Analysis for a Group

1.

Go to Gateway of Tally > Display > Statements of Accounts > Outstandings > Group

UNREGISTERED a group, e.g. Sundry Debtors. PDF CONVERTER PRO BY THETA-SOFTWARE 2. Select VERSION OF CHM TO
3. 4. Select F1 : Detailed from the button bar. Click Age-wise and select one of the two Methods of Ageing: Ageing by Bill Date or Ageing by Due Date . Set the age periods required for the report. The aged bills report is produced accordingly. You can drill down for further details on the individual invoices. Set the appropriate parameter in F12: Configure to view the Nett Balances.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
5.

6.

6.

N o t e : You cannot print Reminder P r i n t i n g available in Gateway of

letters to a group from here. Use Tally .

Multi-Account

Reminder Letters

1.

Go to Gateway of Tally > Display > Statements of Accounts > Outstandings > Ledger

UNREGISTERED a ledger from OF list. TO PDF CONVERTER PRO BY THETA-SOFTWARE 2. Select VERSION the CHM
3. Click the buttons Print from the button bar.

The following screen displays

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Print Reminder Letter
Set this option to Yes . In the Company Ageing Alteration screen that appears set, accept or modify the ageing period as the case may be.

Show Bills in Foreign Exchange
Here you can type Yes or No and accept. When you are in the Print screen, press F12: Configure to change the contents of the reminder letter.

If you want to print Reminder Letters to a group of ledgers, you must use the Multi-account printing option available in Gateway of Tally .

Reminder letters to a Group of ledgers

Go to Gateway of Tally > Multi-Account Printing > Outstanding Statements > Ledger > Group of Accounts Select the group for which reminder letters are required, e.g. Sundry Debtors. UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE The following screen displays

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

This report is a Bill-wise details report that lists the outstanding bills for each ledger in the group.

Statutory Reports

To view the Statutory Reports: Go to Gateway of Tally > Display > Statutory Reports The following screen displays.

Note: enabled

The Statutory Reports menu will appear depending in F11:Features > Statutory and Taxation.

on

the

Statutory

features

Cash and Funds Flow

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
More: Cash Flow Funds Flow

Cash management is essential for any business. Many companies, as they go into liquidation, continue to make profits because of insolvency. Businesses shut down because of lack of cash despite being profitable. Cash and Fund Flow Statements aid in cash management and are an important component of the management accounts.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Cash Flow

Cash Flow Statement is a chronological account of the movement of cash in and out of the business and includes all cash transactions made with banks also. When used with the Balance Sheet and Profit & Loss Account , the Cash Flow Statement helps to assess the reasons for the differences between net income and net cash flow as well as the effect of cash/non-cash investing and financing transactions. To access the Cash Flow: 1. 2. Go to Gateway of Tally > Display > Cash/Funds Flow > Cash Flow A Monthly Cash Flow Summary that shows the Cash Movement – inflow and outflow for each month and the Nett Flow, displays.

3.

3.

Select a month and press Enter to drill down. Select the button F1 : Detailed from the button bar to see the cash flow for that month.

For Quarterly Cash Flow:

Change Period by pressing F2: Period and set the period, e.g., 1-4-05 to 1-12-05.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Select the option Auto Column from the button bar.

You can also select Quarterly (or Monthly or any other period) from the list

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Columnar Cash Flow Statement

Funds Flow

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
To access the Funds Flow: 1. 2. Go to Gateway of Tally > Display > Cash/Funds Flow > Funds Flow

While Cash Flow Statement is concerned only with cash, Funds Flow takes into account, the movement of the entire working capital. It includes rise and fall in inventories, creditors and debtors apart from cash and bank. The statement reveals the Sources of Funds and how they were applied.

UNREGISTERED VERSION OF Balances of PDFmonth with a column for FundsTHETA-SOFTWARE the Opening and Closing CHM TO each CONVERTER PRO BY Flow.

A Monthly Funds Flow Summary with the movement of working capital for each month displays. It shows

3. 4.

Select a month and press Enter to drill down.

3. 4. Select F1 : Detailed to see the funds flow for the selected month.

5.

The bottom of the screen displays the movement in Working Capital.

You can drill down any line for further detail.

For Quarterly Funds Flow:
1. 2. 3. 4. Change the period by pressing F2: Period Set the period e.g., 1.1.04 to 1.5.04. Select the button Auto Column from the button bar.

3. 4. Else Select Quarterly (or Monthly or any other period) from the list

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Reconciliation of Bank accounts

Reconciling the company's bank accounts with the banker's statement is a regular task of accounting. In Tally, Reconciliation of Bank Accounts facilitates the following:

Ability to ‘check back’ the correctness of reconciliation
Tally uses Bank Date to mark against the voucher. For instance, if you issue a cheque on 8th April and your bank clears it on 19th April, you would set the Bank Date for the voucher as 19th April. This means that when you need to 'check back' later, whether the entry made by you is correct, you will only need to verify the bank statement of the 19th.

Recovering the reconciliation of any date
This is of crucial importance in Auditing . The Bank Reconciliation is one of the pre-requisites of auditing and verification of the correctness of accounts at the year end. However, it is not a 'real-time' task, meaning auditors do not do it on the first day of the next year. For e.g., the reconciliation made on 31st March, should be 'viewable' even in August, by when almost all the cheques would have subsequently been marked Reconciled . Tally provides you with a facility of achieving this also. Bank accounts may have a different Starting Date for reconciliation purposes. When you create a bank account, you are prompted to give an Effective Date for Reconciliation . Normally, this would be the Books Beginning from date itself. However, you could have imported data from a previous version of Tally or from any other system (where the reconciliation process was not available or was different). In that case, you may not want to reconcile the bank account with your bank statements from the very beginning. Give the date from which you want the reconciliation facility to be active. Once you do this, previous entries would not appear for reconciliation, but would be taken as a reconciled Opening Balance. A quick experiment with Reconciliation will show you what it all means. Here is how you go about it: 1. Bring up the monthly summary of any bankbook.

(You can choose a bank book from any of the following: Balance Sheet, Trial Balance, Display > Account Books > Cash/Bank Books).

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

2.

Bring the cursor to the first month (typically April), and press Enter . This brings up the vouchers for the month of April. Since this is a bank account, you can see an additional button F5: Reconcile on the button bar to the right. Press F5 . The display goes to the Reconciliation mode, which can be edited. The primary component of the current screen is the column for Bankers Date . The Reconciliation found at the bottom of the screen shows:

3.

4.

Balance as per Company Books

Amounts not reflected in Bank

Balance as per Bank

The Balance as per Company Books reflects the balance as on the last date (in the example, it is 30th April). The Amounts not reflected in Bank are the debit and credit sums of all those vouchers, whose Bank Date is either BLANK , or LATER than 30-Apr (i.e. these vouchers have not yet been reflected in the bank statement). The Balance as per Bank is the net effect of the Book Balance offset by the amounts not reflected in the Bank – which must equal the balance in the bank statement N o t e : Some discrepancies may persist due to entries which you have not yet entered in your books. You print your reconciliation. made would in the bank statement, reconcile these manually,

and

As you mark the individual vouchers by setting the Bank Date , you will notice that the Reconciliation at the bottom of the screen keeps updating the changes. Once this process is complete, press Ctrl + A or Enter as many times as necessary to skip over the unmarked vouchers and accept the screen. The next time you opt for reconciliation, the screen displays only those vouchers that remain unreconciled. You can also display vouchers that are already marked as reconciled, in case you need to edit the marking, by using F12: Configure

Set Show Reconciled Vouchers also to Yes to see the reconciled vouchers. N o t e : It available is not possible to reconcile physical transactions. opening balance and can be done only with

Set Allow back dated Reconciliation to Yes to enter bank dates which are lesser than the Voucher date. Press Alt+P or click on the Print button to print your reconciliation report.

Display Inventory Reports & Statements

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Inventory in Tally operates in the same way as accounting with regard to displaying, modifying and printing reports. Tally generates inventory reports based on the vouchers entered to date. You can use the customised reports to compare inventory data between different companies, periods of the financial year, and so on. Highlight the item and press Enter to step down to the next level of detail in a report. Repeat this process till you reach an individual voucher. Similarly, step back to higher levels by pressing Esc. The special features available for the currently displayed report are indicated on the button bar and can be selected with a single click of the mouse. This section highlights some special inventory screens and illustrates a basic level of customisation.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
More: Viewing Stock Summary Viewing stock items Making a Stock Query Analysis of Inventory Movements Godown Summary (Location Summary) Sales Bills Pending Purchase Bills Pending

Viewing Stock Summary

Stock Summary is a statement of stock-in-hand as on a particular date. It is updated with every transaction in real time and provides the current stock position. The statement can be drilled-down, as with all Tally reports, and configured to enable you to view different details, for instance, the total flow of stock can be viewed with a single report. Tally treats Stock Summary as one of the primary statements and makes it accessible directly from the Gateway of Tally. To view Stock Summary 1. 2. 3. Go to Gateway of Tally > Stock Summary The default display is of Stock Group balances. Select Detailed to show another level of detail.

The detailed report will include sub-groups or Stock Items (in cases where there are no sub-groups), displays as shown:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

In the above illustration the stock groups Hardware and Software contain stock items and have closing balances. The Stock Groups displays total quantities, as the unit of measure is the same for all the stock items added. A grand total is also available as there is a single unit of measure for all 'addable' items. If there were different units of measure, then the grand total would not be calculated and displayed. More: Stock Flow (reconciliation) Gross Profits – (Item and stock group profitability) Stock Valuation Methods Stock Group Summary Stock Category Summary

Stock Flow (reconciliation)

You can configure the Stock Summary Statement to display the flow of goods. 1. Select VERSION OF CHM the PDF CONVERTER UNREGISTERED F12: Configure while on TO Stock Summary screen. PRO BY THETA-SOFTWARE 2. Set the configuration as shown.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The Stock Summary displays the flow of stock, i.e. Opening Stock, Goods Inwards, Goods Outward and Closing Stock, as shown.

The report is quantitatively reconciled, i.e., Opening quantity + Inward Quantity – Outward Quantity = Closing Stock Quantity . However, this is incorrect for the values as the Outward Value displays Sale Values, not Cost. The Closing Stock Value is, however, based on Cost and the Cost Method adopted for each item. Value Reconciliation is possible if you are using Consumption figures instead of Sales Values..

Gross Profits – (Item and stock group profitability)

Stock Summary can also be expanded to show consumption and gross profits for each stock item. 1. Select VERSION OF or F12: Configure while on the Stock Summary screen. UNREGISTERED F7: Show Profits CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE 2. Set Show Consumption and Gross Profits to Yes.

The Stock Summary report displays as shown.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The Outward Column shows Cost of Goods Outwards termed as Consumption and Gross Profit value and percentage is displayed. This statement is useful to analyse:

Profitability Analysis of Sales (Outwards) Value Reconciliation of Stock

Stock Valuation Methods

The Stock Summary report with stock valuation methods can be used to view the effects of different methods on the value of stock. Each stock item can be set up to have a different stock valuation method. In some instances, a particular method of valuation may be required, for example, to assess the replacement value or saleable value of UNREGISTERED displays stocks in CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE stock. Tally VERSION OF any or all the valuation methods dynamically and simultaneously, without any complicated procedure. Suppose you want to use Last Purchase Cost method to assess the replacement value and the Last Sale Price method for realizable (saleable) value.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE appears as shown below.
Select Last Sale Price from the Stock Valuation Methods list.

In the Stock Summary screen, select the New Column button on the button bar or press Alt+C. The screen

The Stock Summary report with Last Sale Price column displays as shown:

More: To view Ageing Analysis

Stock Group Summary

This report is available when Integrate Accounts and Inventory is set to Yes in the Company Features screen.

UNREGISTERED VERSION OF CHM figures from the ledger account master, rather than the inventory records. It displays Opening and Closing Stock TO PDF CONVERTER PRO BY THETA-SOFTWARE
Hence, it is possible that Stock Summary and the Stock Group Summary report display different figures. Drill-down from Stock Group Summary to view the Stock Ledger account where you can manually key in the closing balance for a given date. You can input closing stock figures for different dates.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
1. Go to Gateway of Tally > Profit & Loss Account > Opening Stock (or Closing Stock)

To view Stock Group Summary:

2. Drill-down to the ledger Account to enter Closing Stock figures.

The date for the closing balance is the beginning from date and till date. If there is no date that follows the last, then that Closing Balance continues. A blank against a date signifies zero balance.

Stock Category Summary

To view Stock Category Summary: 1. Go to VERSION OF > Display PDF CONVERTER PRO Categories UNREGISTEREDGateway of Tally CHM TO > Statements of Inventory >BY THETA-SOFTWARE 2. Select a Category, for example, Spreadsheets.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The Stock Category Summary lists the Closing Balances of all items belonging to the selected category. Drill-down for Item Monthly Summary and Stock Voucher list. Use Show Profit for profitability analysis for the Items in the Category.

Viewing Stock Items

1.

Go to Gateway of Tally > Display > Inventory Books > Stock Item

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
2. Select an item from the List of Items .

You can also use the Stock Summary to view Stock Items. Place the cursor on the item and press Enter.

3. Select F12: Configure . Tab down the Configuration menu to Show with Graph? Type y and press Enter . Select Bar and No . The particulars display with a graph of Goods Inwards and Outwards (red for inwards, blue for outwards). UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

More: Stock Vouchers

Stock Vouchers

1.

Go to Gateway of Tally > Display > Inventory Books > Stock Items

UNREGISTERED Item . 2. Select VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
3. Select and drill-down for any month.

The list of stock vouchers for the current month displays as shown

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

This list of vouchers for a stock item is the lowest level of collated data. If you drill-down any further, you can view the actual voucher. You can also access Stock Vouchers by drilling-down from statements such as Stock Summary.

Stock Query

Stock Query report provides you all the information about a particular item.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
1. 2. Go to Gateway of Tally > Display > Statements of Inventory > Stock Query Select an Item from the List of Items. Tally uses the Stock Category to display Items of the same Category. This feature helps you to ascertain the availability and location of alternative products to offer your customer.

To create Stock Query :

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

3. Select F4:Item to switch to another item.

Additional Information: 1. Go to the Group Summary , select Software and press F12: Range to limit the display to Stock Groups having Closing Balance greater than 3000 . Explore the Locations report. Select On-site , click F1: Detailed , change the period: 1-5-05 to 31-7-05, and use Auto Column to bring up the month-by-month figures. Auto Column feature gives you the facility to check the stock status using different periods. Bring up the initial display of each report and use and back again. Enter and Esc to drill-down through the levels of detail

2.

3. 4.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Analysis of Inventory Movements

The Analysis of Inventory Movements is generated for accounted transactions only, unlike Stock Summaries and other statements, where Goods Received but Bills not Received and Goods Dispatched but Bills not Raised are also considered. Thus Analysis statements, are used generally for a comparative study, and not considered authentic for Accounts or Inventory records. Go to Gateway of Tally > Display > Inventory Books > Movement Analysis

Analyse stock movements by stock groups, categories, financial group or ledger. More: Movement Analysis (Stock Group Analysis) Item Movement Analysis Item Voucher Analysis Stock Category Analysis - Movement Analysis Ledger Analysis Transfer Analysis

Movement Analysis (Stock Group Analysis)

Movement Analysis of a selected stock group displays the Total Inward and Outward movement of all the items in a selected Stock Group . The quantities displayed are Actual Quantities of movement (which, in some cases, may be different from the Billed Qty in the transactions.) The 'Inward' detail displays the Effective Rate or Final UNREGISTERED of the materials, after considering all overhead costs PRO BY THETA-SOFTWARE Effective Landed Cost VERSION OF CHM TO PDF CONVERTER (see 'Valuation of Purchases'). If the Rate varies from the Basic Invoice Rate of the materials, it is highlighted. The Outward detail displays the Basic Invoice Rate and Value of goods sold/transferred out.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Item Movement Analysis

Gateway of Tally > Display-Inventory Books > Movement Analysis > Stock Item Analysis Item Movement Analysis is the next level of information (press Enter on the Stock Item or Display Inventory Books Stock Item Analysis ). This brings up the Party-wise/Transfer-wise detail of Movements. The Inward detail displays the Basic Invoice Rate and Effective Rate.

This report helps you compare Purchase Costs across different suppliers. For example, Supplier A may have a lower Basic Invoice Rate as compared to Supplier B , though the Effective Rate may be higher (perhaps due to differences in Taxes, Packing Costs, Freight Costs etc). Suppose a material is manufactured in-house as well as purchased, the difference in Purchase Costs and In-house Costs can be checked. Select multiple columns for different periods, to view the changes in the Effective Rate for purchases. Press Enter on the Party Name or Stock Journal Name to display the transaction-level details on Date of goods received/sold, Quantities, Basic Rates, Addl. Costs, and Effective Rate for each transaction..

The default screen displays the Addl.Costs (if any), in a single column. To view the spread of costs, press F12: Configure and select to view Show Addl. Costs . This brings up the bifurcation of all Additional Costs .

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Item Voucher Analysis

This report gives the value details of all transactions for a selected stock item from a particular supplier or to a particular customer. It is obtained from Movement Analysis Report of a stock item. 1. 2. 3. Go to Gateway of Tally > Display > Inventory Books > Movement Analysis Select Item from List. Select a Supplier (or Customer) from the Item Movement Analysis .

The report displays every purchase from Tally Solutions, Bangalore during the period specified with break-down of Basic Value and Additional Cost . To view full details of Additional Cost , press F12: Configure and set the option. The Item Voucher Analysis considers only billed transactions, not ones for which invoices have not been raised. Use F12: Configure for more details.

Stock Category Analysis - Movement Analysis

1.

Go to Gateway of Tally > Display > Inventory Books > Movement Analysis > Category Analysis

UNREGISTERED a category , for example, Spreadsheets. 2. Select VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
3. Change period , if necessary.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The Stock Category Analysis statement displays the movement of Stock Items of a selected Stock Category. The Inward and Outward movement of these two items are summarised in the Summary. Drill-down to bring up the Item Movement Analysis for the selected item.

Ledger Analysis

Ledger Analysis is similar to Movement Analysis, except that you can view movements of the items for the selected Ledger (Party). Thus, you get an 'analysis' of all purchases made from a supplier, or all items sold to a customer. The next level of information brings up the transaction-level details.

Transfer Analysis

When using different Stock Journals for each transaction, Transfer Analysis gives the movement details for each type of Stock Journal. This is a very useful costing and waste analysis tool. In non-manufacturing set ups, which have Multiple Godowns, this report becomes a quick check to verify that all transfer entries have been entered correctly. UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Godown / Location Summary

The Godown/Location Summary statement displays the Stock Summary for different Godowns/Locations . While the main Stock Summary shows the stock position for the entire company on a given date, the Godown/Location Summary is a statement of stock-in-hand at each location on a particular date. The Godown/Location Summary is updated with every transaction and it provides the current stock position for any Godown/Location at any time. This report can be drilled-down, as with all Tally reports, and configured to view different details. It is also possible to view the total flow of stock for each location in a single report. Experiment with the different buttons for this purpose. 1. 2. Go to Gateway of Tally > Display > Statements of Inventory > Godown/Location Select Primary to view the summary for all Godowns/Locations . Alternatively, select a specific Godown/Location to limit information to that Location/Godown. The default display is that of Godown/Location Group godowns/locations, quite like sub-groups of stock items. Select Detailed for second level of detail. balances. You can have sub-groups of

3.

4.

4.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Place the cursor on Software and press Shift+Enter to expand the group

More: Godown/Location Stock Flow/Reconciliation Godown/Location Vouchers Batch information in Summary Statements

Godown/Location Stock Flow/Reconciliation

The reconciled flow of goods at each location is available.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Select F12:Configure while in the Godown/Location Summary Screen

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The Godown Summary statement displays the flow of stock: Opening Stock, Goods Inwards, Goods Outward and Closing Stock, at each location.

The statement is quantitatively reconciled, not monetarily, i.e., Opening quantity + Inward Quantity – Outward Quantity = Closing Stock Quantity. However, this is not true of values because values do not add up in this manner. The Outwards value displays Sale Values, not Cost. The Closing Stock Value is, however, based on Cost and the Cost Method adopted for each item. Value reconciliation is possible using Consumption figures, instead of Outward Values. Press F:7 Show Profits to expand the Outwards Column for Consumption and Profit figures. Value Reconciliation is now possible using: Opening Value + Inward Value – Consumption Value = Closing Stock Value .

Columns
Use Columns to view stock balances of the Godowns/Locations on different dates/periods or other options listed in the Auto Columns options. Even though you have selected a specific Godown/Location for display, you can still bring up information of the other godown(s)/location(s) in columns. Select New Column or Auto-Column for such a display.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The above report is obtained by selecting: New Column Various reports are available from the Stock Item Monthly Summary , including different periodicity and Average stocks. Drill-down an item in the Stock or Godown/Location Summary level to the Item Monthly Summary and use F12: Configure options. Refer F12: Configure for Material Consumption Summary Report in Job Costing

Godown/Location Vouchers

1. Go to Gateway of Tally > Display > Statements of Inventory > Godowns/ Locations 2. Select a Godown/Location . 3. Select Item.

Drill down through the entries for the Godown/Location Vouchers screen to appear. Godown/Location Vouchers is a list of all vouchers for a selected item that are related to the selected Godown/Location during the period of display. The relationship could be stock in/out of the particular location. This statement helps you to list all transactions for a particular Godown/Location .

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Batch Information in Summary Statements

To view the stock of batches of an item: 1. 2. 3. 4. 5. Go to Gateway of Tally > Stock Summary This could even be the Godown/Location Summary. Expand the Stock Group using Detailed or Shift+Enter till all the Items display. Use Shift+Enter to reveal the Batches and their stock position. Use F12: Configure to use Opening Balances, Goods Inwards and Goods Outwards.

Sales Bills Pending

Sales Bills Pending Report is generated when the option Tracking Numbers is set to Yes .

UNREGISTEREDinvoices raised, butCHM TOgoods have not been delivered BY THETA-SOFTWARE instances of VERSION OF for which PDF CONVERTER PRO
Go to Gateway of Tally > Display > Statements of Inventory > Sales Bills Pending The default report displays as shown.

It lists out all instances of incomplete sales, where goods may have been delivered but not invoiced. It also lists

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Use Detailed to view the transactions. Use F12: Configure to view the Initial Quantity.

Note:

To

drill

down,

bring

the

cursor

on

the

voucher

detail

line

and

press

Enter .

Purchase Bills Pending

Purchase Bills Pending Report is created when the option Tracking Numbers is set to Yes.

UNREGISTERED VERSIONreceived, butTO which goods have not been received THETA-SOFTWARE lists instances of invoices OF CHM for PDF CONVERTER PRO BY
Go to Gateway of Tally > Display > Statements of Inventory > Purchase Bills Pending The default report displays as shown.

It lists all instances of incomplete purchases where goods may have been received, but not fully invoiced. It also

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

For variations in the report, refer Sales Bills Pending .

Aged Stock Analysis (Ageing Analysis)

A very important function of Working Capital management is monitoring stocks. Money locked up in stocks can adversely affect the liquidity of a company and every company strives or should strive to reduce stock levels to the optimum. Every business (except perhaps the liquor and antiques dealers) would prefer to dispose of older stocks as they might deteriorate with TO go out of fashion, or simply get forgotten. Tally's aged stock analysis UNREGISTERED VERSION OF CHMtime, PDF CONVERTER PRO BY THETA-SOFTWARE or Stock ageing enables you to know the age of stocks in hand according to when they were received and the purchase value. More: How to view Ageing Analysis

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

How to View Ageing Analysis?

1. 2.

Go to Gateway of Tally > Display > Inventory Books > Ageing Analysis Select the Group of Stock Items .

The Ageing Analysis report produces a default ageing period of <45 days, 45-90 days, 90-180 days and >180 days. You can change the setting by using F6 . The default report displays stock values based on Actual Purchase invoice . Use Hide Amount to view the report without values as has been done above. As Negative Stocks cannot be aged, they are shown in a separate column. More: Item Inward Details

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Item Inward Details

Age Analysis is done for stock-in-hand based on when it was purchased. The Item Inwards details statement provides further information of aged stock such as date of purchase and supplier, and allows drill-down to the actual transaction voucher. Go to Gateway of Tally > Display > Inventory Books > Ageing Analysis Move the cursor to any of the age-wise columns (i.e., < 30 days, 30 to 60 Days, > 60 Days) for an press Enter. item and

Scenario Management

Scenario management is a management tool that enables different displays of accounts and inventory related information, by selectively including certain types of vouchers without affecting the source data. It is useful in generating provisional reports, where entries are not actually made in the main books. It is also a useful forecasting tool i.e. you can forecast the expenses using provisional Vouchers THETA-SOFTWARE UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BYand include them in your reports. The vouchers that are used in Scenario Management are: Optional Vouchers Memorandum Vouchers

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Reversing Journals This section shows you how to use the above-mentioned vouchers in Reports. You can create a number of scenarios each including and/or excluding one or more types of voucher entry. More: Create a Scenario Alter or Display Scenario Information How to use Scenarios List of Accounts (Chart of Accounts) Exception Reports

Creating a Scenario

Set Use Reversing Journals & Optional Vouchers in F11:Company Features to Yes. Go to Gateway of Tally > Accounts Info. > Scenario > Create

1.

Give a suitable name to the scenario. In this case, it is Provisional.

2. 3.

Set Include Actuals to Yes Set Exclude Forex Gains/Losses Calculations to Yes if you do not want the Unadjusted Forex Gain/Loss element to appear in the scenario Set Exclude Inventory Tracking Calculations to Yes if you do not want the Sales/Purchase Bills Pending

4.

3.

4. element to appear in the scenario

5.

Include

From the list of vouchers, include the type of vouchers required. Notice that it picks up the Voucher Types created for this company. Provisional Vouchers and Regular vouchers that are marked Optional are permitted for selection.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
6. Exclude Exclude from the list of vouchers already included in the type of vouchers that you do not want to affect this scenario. This option is used in Alter mode and hence is discussed under Alter/Display Scenario Information. 7. Accept to create this scenario.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Alter or Display Scenario Information

1. Go to Gateway of Tally > Accounts Info > Scenario > Alter 2. Select the scenario to alter from the List of Scenarios The information given while creating the scenario displays and you can alter it. Exclude Use the Alter mode when you do not want a selected included voucher to affect the scenario, anymore. It is easier to put the selected voucher in the Exclude List, rather than to remove it from the Include List.

Using Scenarios

Create a Reversing Journal Entry for the scenario as follows. 1. Go to VERSION OF > Accounting Vouchers > F10: Rev Jrnl UNREGISTEREDGateway of Tally CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE 2. 3. Select Reversing Journals from the list. Debit Depreciation and enter the amount

UNREGISTERED Provision for Depreciation TO PDF CONVERTER PRO BY THETA-SOFTWARE 4. Credit VERSION OF CHM

5. 6.

Enter Narration if any.

5. 6. Accept the Voucher.

More: Display/Alter a Reversing Journal Using Scenarios in Statements and Reports

Display/Alter a Reversing Journal

View or alter the reversing journal through the Reversing Journals Book under Exceptional Reports. 1. Go to VERSION OF > Display PDF CONVERTER Reversing Journals UNREGISTEREDGateway of Tally CHM TO > Exception Reports > PRO BY THETA-SOFTWARE 2. Select a month to list all the reversing journals for that month. Drill-down to view/alter the entry.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Using Scenarios in Statements and Reports

You can use scenarios in statements (not registers) that have the New Column button active. 1. 2. 3. 4. Display the Balance Sheet . Select New Column . In the column details, tab down to Types of Values to Show . Select the scenario named Provisional .

The Balance sheet displays as shown with two columns for the same date.

Note the Provision for Depreciation figures in both the columns. The actual column shows –18250 while the Provisional column shows –33250. This is on account of the reversing journal entry in the Scenario. To view, go through the Exceptional Reports Display Menu. Use the same procedure to create another scenario for Sales Forecasts. 1. Create a new Scenario and call it Sales Forecasts .

2. Include Sales Vouchers Optional UNREGISTERED VERSION OF CHM TOOnly . CONVERTER PRO BY THETA-SOFTWARE PDF 3. 4. Create 12 Sales Vouchers, one in each month. Remember to mark them Optional . View the Sales Accounts by drilling-down the Profit & Loss A/c .

5. Bring VERSION OF CHM TO PDF CONVERTER the following month. UNREGISTEREDup New Columns and limit each column date range to PRO BY THETA-SOFTWARE The Sales forecast figures must display. N o t e : You could even use Memorandum v o u c h e r s . Memorandum Voucher s Vouchers for this purpose, instead discussed in the next section. of the Optional

is

List of Accounts (Chart of Accounts)

A chart of accounts is created from an Accounts menu. To view an existing chart: Go to Gateway of Tally > Display > List of Accounts

The List of Ledgers displays in alphabetical order of the main groups. Hence, Branch/Divisions is listed first, not the account name Anil, which is under the group Capital. Note the indentation and change in font. The groups are in bold and begin on the extreme left; sub-groups are slightly indented towards the right and still in bold, while at the lowest level it is the ledger account which is in italics. Drill-down a ledger name to alter its details or use Shift+Enter to view the details. Use the buttons to switch to their respective lists (these are all lists of different Masters):

List of Groups

List of Cost Categories

List of Cost Centres

List of Budgets

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
List of Locations

List of Stock Groups

UNREGISTEREDList of Stock Items CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE VERSION OF
List of Currencies

List of Units

List of Voucher Types

Exception Reports

Exception Reports track unusual transactions or balances. Go to Gateway of Tally > Display > Exception Reports The different kinds of Exception Reports are as shown.

More: Negative Stock Negative Ledgers Overdue Receivables Overdue Payables List of Memorandum Vouchers List of Reversing Journals List of Optional Vouchers Post-dated Vouchers TDS Not Deducted

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Negative Stock

Go to Gateway of Tally > Display > Exception Reports > Negative Stock This report displays a list of all stock items that have a negative closing balance at the end of a specified period.

If a negative balance occurs it is adjusted by a purchase so that the balance is not negative at the end of the display period. You can change the period using the Period button or use the auto column button to view the negative stock items You can use the drill-down feature or view Stock Item display for further details.

Negative Ledgers

This is a list of ledger accounts that have obverse balances, i.e., balances that are opposite to the nature of the account. For example, a creditor account with a debit balance and an asset account with a credit balance.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Go to Gateway of Tally > Display > Exception Reports > Negative Ledgers

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Bank of Paris is a Bank account and is expected to have a debit balance. British Telecom is a Creditor/Supplier account and should normally have a credit balance.

Overdue Receivables

T his is a list of all invoices that are overdue as on current date. Go to Gateway of Tally > Display > Exception Reports > Overdue Receivables

Ageing - use the Age-wise button. Overdue Payables – use the Payable button.

Overdue Payables

T his is a list of all purchase bills that are overdue as on current date

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Go to Gateway of Tally > Display > Exception Reports > Overdue Payables

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

List of Memorandum Vouchers

Go to Gateway of Tally > Display > Exception Reports > Memorandum Vouchers This is a list of Memorandum Vouchers entered during a period. Change the period as required.

List of Reversing Journals

Go to Gateway of Tally > Display > Exception Reports > Reversing Journals

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

This is a list of Reversing Journals entered during a period. Change the period as required.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

List of Optional Vouchers

Go to Gateway of Tally > Display > Exception Reports > Optional Vouchers This is a list of all types of vouchers marked as 'Optional' during a period.

Post-dated Vouchers

Go to Gateway of Tally > Display > Exception Reports > Post-dated Vouchers

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

This is a list of all types of vouchers that are marked 'Post-dated' within a given period.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Printing Reports

Reports and documents generated through Tally's extensive display capabilities can also be printed. Printing is possible in two ways: 1. 2. Using the Print (Alt + P ) button and Multi-Account Printing

Using the Print (Alt + P) button
You can choose to print directly from the screen currently displayed by selecting the button PRINT (top-most button on the right-hand side of the screen). This brings up the Print Configuration screen for the report and new button options on the right-hand side of the screen. You can change and alter the settings in the print configuration screen Printer – Click Alt + S (Select Printer) to change printer settings. This also displays the default paper size that you have set for the printer. No. of Copies – Click Alt + C (Copies) to specify the number of copies to be printed. Print Language – Set Enable Multilingual Support to Yes in F12: Configure and click Alt + L (Print Language) to print in the language of your choice. Method - Click Alt + F (Print Format) to select the print format. A pop-up list displaying the printing formats available in Tally. The formats provided are, Dot-Matrix Format, Neat Format and Quick (Draft) Format. Here you can select either the pre-printed or plain paper to print out your reports

Pre-Printed / Plain Paper:
By default, the Printing Configuration screen is set to print on plain paper. The print-out displays as shown.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

To print on a pre- printed invoice/ report, select Pre-printed (Alt+R ) and the Print Preview screen displays as shown.

Tally enables you to print the company details on the invoice/ report. You can toggle between the two options to

print using either method. Page Range - Click Alt + G (Page Nos) to select the starting page number and the page number range. Paper Type - The paper Type can be set after you select the printer. Paper Size - By default, the paper size in Tally is set at 8.50 X 10.98 or 216mm X To alter the paper size to your requirements, select Alt+S (Select Printer) . A list of printers displays. UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE 279mm .

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

More: Print Format Draft Mode Printing (Quick Format) Printing TDS Form16A Exporting eTDS Form Printing TDSForm27A

Print Format

The Print Format button appears on the Print screen (after you press Alt+P or on clicking the Print button). Click the Print Format button and Tally displays a list of Print formats as shown.

Neat Mode and Quick/Draft print formats are compatible with most printer drivers installed on the Windows Operating System. Dot Matrix Format in Tally is a special print format that allows you to print Tally reports in text format using the speed of Dot Matrix printers. Most GUI-based software’s do not provide Dot Matrix printing capabilities. However, Tally being a Windows-based software has a print format compatible with dot matrix printers. This makes printing reports from Tally as quick as its real-time report generation. Select Dot Matrix Format. The screen displays as shown.

By default, Epson printer drivers are defined. Install Epson Printer drivers in Windows for any Dot Matrix printer and use this format to print reports quickly. N o t e: Any should be Dot Matrix printer may be used, but ONLY Epson used for Dot Matrix Format printing in Tally. printer drivers (LQ and FX series)

Multi-Account Printing

This option enables the printing of the primary Books of Accounts, like the Cash and Bank Books, Account Ledgers, Sales and Purchase Registers etc, without having to select the accounts one at a time and printing them .

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Go to Gateway of Tally > Multi Account Printing.
Choose between the options – Account Books, Inventory Books, Day Book and Multi Voucher Printing . You can select the date and other selections before printing.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Drill-down to Accounts Books, Outstanding Statements and Inventory Books and select the appropriate reports to print. Change the common printing options by selecting the appropriate buttons on the right side of the screen.

For details , click Printing Reports .

Printing All Accounts
Go to Gateway of Tally > Multi-Account Printing > Outstanding Statements > Ledger > All Accounts

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

When Printing the Ledger Outstanding screen, if Show Contact Details is set to Yes , and Start Fresh Page for each Account is set to No , the Contact Person and the Tel. No. fields are displayed below each Ledger Account in the same page.

If Show Contact Details is set to Yes , and Start Fresh Page for each Account is also set to Yes , each Ledger Account displays on a fresh page, with the address appearing below the Ledger Name. N o t e : The for them to Contact Person, be displayed. Tel. No. and the address should be entered in the Ledger Masters

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Draft Mode Printing (Quick Format)

Almost every report (except Cheques) can be printed in Draft Mode. The default behaviour of Tally is to print in Neat Mode. To alter this, press Alt+F and all subsequent reports will be printed in Quick Format until Alt+F is pressed again at the Printing screen. (The button equivalent for this is Quick Format). Draft Mode imposes additional restrictions in printing, which you will quickly learn by experimentation. After selecting Draft Mode or Quick Format, click Alt+S to select the option Print to a File. Specify the name of the File to output the data and select the Printer whose dimensions are to be used.

Collaborative Tally

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Collaborative Technology in Tally extends the ability of a company to manage information across different software applications, offices, business partners and managers-on-the-move. The integration of other technologies in Tally gives the user the benefit of exchanging data with other systems. Collaboration enables the company to arrive at decisions quickly through faster exchange of data in a computer network and related environment. A higher profit is one of the advantages of using such technology in business.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Export of Data

Use Export option to export reports and statements from Tally. The exported reports can be viewed in a spreadsheet, published on the web or exported to another company using Tally.

Open a report or a statement and click the Export button or use ALT+E . The export screen displays Export? Yes or No .

Press Backspace or Esc or No to navigate through the fields and alter the parameters. Language

This option enables you to export your reports in English or any Indian language.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
On Selecting Restricted (ASCII Only) you can export your reports in English. N o t e : If you have used company created in any with question marks. Format the of option Restricted (ASCII Only) to export reports of the Indian languages, then the exported values will

On selecting Default (All Languages) you can export your reports in any of the Indian languages. However, the display language has to be set to the respective Indian language.

a appear

Tally has four formats for export of data:

ASCII (Comma delimited)

Excel (Spreadsheet)

HTML (web-publishing)

XML (data interchange)

By default, the exported file will be saved in the Tally folder on your computer. To export to a different folder enter the path of the drive and folder in Output File Name . Another program can be used to import the content from the exported file or it can be used as is.

More:

Export Master Data

Export Formats

Tally has four formats for export of data.

UNREGISTERED (Comma delimited)CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE ASCII VERSION OF
Excel (Spreadsheet)

HTML (web-publishing)

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
XML (data interchange)

ASCII (Comma delimited)
In Tally all reports can be exported to ASCII by selecting ASCII (Comma delimited) format from the export Format screen. This feature enables the user to export any report generated by Tally into plain text format with values separated by commas. This format is commonly used for email and several other programs.

Excel (Spreadsheet)
In Tally all reports can be exported to Microsoft Excel spreadsheet by selecting Excel (Spreadsheet) option from the export Format screen. This feature enables the user to export any report generated by Tally into Excel. Consequently, the user can generate graphical representations of the data for better visual presentation. Note: Export to Excel is compatible with Microsoft Office 97 or higher.

Export with Formatting/ Colour (Only in Excel format) Reports can be exported from Tally to Excel with or without all the formatting and background colour as it appears in Tally. These options can be defined on the Report Generation screen.

N o t e : If Excel with background Tips: Export to

(Spreadsheet) colour. Excel works

Formatting is set to N o, the

report

cannot

be

exported

faster

if

formatting

is

not

included

for

export.

HTML (web-publishing)
In Tally all reports can be exported to HTML format by selecting HTML (web-publishing) from the export Format screen. Reports in Hyper Text Markup Language (HTML) format retain their formatting and fonts. They can be read using an HTML-enabled mail program, or using browsers such as Microsoft Internet Explorer. Resolution (Only in HTML format) Resolution is based on the pixels used to format the report. A higher resolution gives a better quality of output. The Resolution option is available only in HTML format in Tally.

XML (data interchange)
In Tally all reports can be exported to XML format by selecting XML (data interchange) from the export Format screen. Extensible Markup Language (XML) is an extension of HTML, but the data can be imported by other XMLaware systems. Using XML, Tally allows the user to exchange information even with systems that do not run Tally. An XML file from Tally has an XML envelope and is formatted with XML tags, to enable import into other systems. The destination system requires re-formatting of XML Style Sheets (XSLT), based on the inherent style used in Tally before importing the data. When two systems are running different versions of Tally, XML data can be directly imported using the import menu option, without any re-formatting.

Export Master Data

Master Data from Tally can be exported to standard formats like ASCII, Excel, HTML and XML using the export feature. The exported data can be used by other programs.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
1. To export Masters from Tally, go to Gateway of Tally > Display > List of Accounts 2. Use Alt+E or click Export on the button bar. This displays the Report Generation screen. Press Backspace or Esc or No to change the default values.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Language Select the language in which you would like the data to be exported. Format

Select from the four formats available.

ASCII (Comma delimited)

Excel (Spreadsheet)

HTML (web-publishing)

XML (data interchange)

Output File Name Enter the name of the file in which the exported master will be saved. By default the file will be saved in the Tally folder in your computer. To export to a different folder, enter the path in Output File Name (Example: C:\differentfolder\filename). Type of Masters Select the Masters from the list.

Import of Data

Data can be imported to Tally from other users of Tally. Tally can also be programmed to import data from other systems to be used as an integrated system. For example, a Customer OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE UNREGISTERED VERSIONContact Management Program, with details such as status of an order and last contact established, can be imported to Tally. This imported data can be merged into a report containing outstanding balances. When data is changed in the other system, the change is also reflected in Tally. To import data, Go to Gateway of Tally > Import of Data

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

More: Masters Vouchers Synchronization

Import Formats

Only the Tally XML format is supported for import of Data in Tally.

Tally (XML) Format This option imports data in XML format. More on XML.

Import of Masters

Masters from another company can be imported to Tally and merged with the data of the current company. Note UNREGISTERED : and activate CHM TO PDF CONVERTERdata. BY THETA-SOFTWARE VERSION OF Company before importing PRO * Load * Export the data from another company before importing it.

To import masters, 1. Go to Gateway of Tally > Import Masters.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
The Import of Data screen is displayed. 2. Enter the full path of the file in the Import File Name field. Example: C:\tallyrel1.11\DayBook.xml .

3.

Select the appropriate option in the Treatment of entries already existing field from the Behaviour menu.

Combine Opening Balances – Select this to combine the opening balance of the imported masters with the opening balance of the current company.

Ignore Duplicates — Select this to ignore duplicate entries from the imported data. When imported entries are the exact replicas of entries in the current company, they are called duplicate entries.

Modify with new data — Select this to add new data from the imported master to the current company data.

4.

Enter to Accept .

5.

Open Tally.imp file located in the Tally folder in Notepad to view log of import activities.

5.

Import of Vouchers

This feature allows the import of vouchers from earlier versions of Tally and other users of Tally. Voucher data can be imported from other programs using XML.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE To import vouchers,
1. Go to Gateway of Tally > Import Transaction > Vouchers.

Only the Tally XML format is supported for import of Vouchers in Tally.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

2.

Import File Name – Enter the path of the drive and folder where the file to be imported exists.

Synchronization

Synchronization is the replication of data between two or more locations that use Tally. Data can be sent over the Internet, or in a private network system. Tally offers control over the frequency of replication. Data can be replicated after each transaction or updated at specific intervals. Synchronization takes place in a Client-Server environment and can be initiated only by the client. Data from the client is transferred to the server and from the server to the client. Replicating data is a single-click activity in Tally once Synchronization is set up between a server and its clients. More:

Tally Link Server

Direct Synchronization

Synchronization Using Tally Link Server

Tally Link Server is a service under Tally Internet Services that allows you to synchronize data without worrying about the Fixed IP. In a network VERSION The Tally Server instance connects to the Tally BY THETA-SOFTWARE UNREGISTERED environment, OF CHM TO PDF CONVERTER PRO Link Server, available on a public IP on a predefined port. The Tally Client instance connects to the Tally Link Server and communicates with the target Tally Server instance as long as the Tally server remains connected to the Tally Link Server The destination Tally Server instance is identified using its unique TallyLinkId. Thus, even if you have a dynamic IP on the Tally Server, you don’t need to change anything on the Client. Just log on to the Tally Link Server and CHM TO PDF UNREGISTERED VERSION OF stay connected. CONVERTER PRO BY THETA-SOFTWARE The figure below depicts the complete picture:

Set Up for Synchronization

On Client Computer
1. Open Tally.ini file in the client computer and insert this line: clientserver=client

2. Execute Tally 3. F12: Configure> Connectivity> Sync Configuration.

TallySync Configuration

Ignore Server’s modified Voucher Type Masters?
To modify the client’s Voucher Type Masters during synchronization set this field to Yes. TallyLink Configuration Use TallyLink? The field, Use TallyLink? , is set to No by default. If using the Tally Link Server, set this field to Yes. TallyLink ID Enter TallyLink ID to register against your serial number. This Id is required for the identification on the TallyLink Server (TallyLink id can be a Tally Serial Number of the client machine or any name which will be registered against the serial number).

On Server Computer
1. Open Tally.ini file on server computer and insert the following line: clientserver=server

1. Serverport = 20000 (any port between 1 to 64000, whichever is open. Note that the first 1000 to 1500 ports are standard ports, which must be avoided). 2. 3. Execute Tally . From Gateway of Tally> F12: Configure> Connectivity> Sync Configuration

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

TallySync Configuration Ignore Client's modified Voucher Type master? To modify the server’s Voucher Type Masters by the client after synchronization set this field to Yes . Enable Sync Logging (SockReq.log) To log all requests and responses in a file called sockreq.log set this field to Yes . This will help when debugging the sync process. Truncate previous log before Syncing This field appears only on setting Enable Sync Logging (Sockreq.log) to Yes . Setting Truncate previous log before Syncing to Yes will delete the previous logs before logging in to the current session. TallyLink Configuration Use TallyLink? Set to Yes to select Tally Link Server for syncing type TallyLink ID Enter TallyLink ID to register against your serial number. Connect to TallyLink Server Set to Yes to establish a connection between the TallyLink Server and the remote Tally clients. (The Connect Button appears in the button bar. On opening the same screen next time use the Connect Button to connect to TallyLink Server) Connect on Startup Set to Yes to connect to the TallyLink server on startup

Accept the Tally Sync Configuration screen. Click on Connect button on the button bar or press ALT+N to connect to TallyLink server. If TallySync and TallyLink information are found correct, the following message displays in the calculator pane:

TallyLink ID

For both the server and client, who want to use the Sync feature through Tally Link Server, it is mandatory that they register a TallyLink ID (Alias name) for their copy of Tally. TallyLink ID is a unique identifier used by Tally Link Server to identify all the connected Tally instances.

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To connect to the Tally Link Server for the first time, specify a TallyLink ID and send it to the server. The Link Server checks for the TallyLink Id in its database. If available, assigns the TallyLinkId to that particular Tally instance. This TallyLink ID is stored against the Tally Serial No. If the TallyLink ID is not available (the specified TallyLink ID has already been assigned to someone else.), a TallyLink ID already exists message displays. On all subsequent connections /requests, the TallyLink ID is verified against the Tally Serial No, authenticated and authorized. UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Creating a Rule

Select the company whose vouchers are to be synchronized. Ensure that the company is kept open on both the client and the server computer. Create a new Client Rule on the client computer and specify the following: Company name on the server, Server details Synchronization details.

Gateway of Tally > Import of Data > Synchronization > Client Rules > Create

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The details of the screen are mentioned below :

Name of Rule

Specifies the name for the client rule. Any name can be entered as long as such rule does not exist in the company.

Use TallyLinkServer
Specifies if Tally Link Server is used for synchronizing. Type Yes to select Tally Link Server.

Server TallyLink Id
Enter the Server TallyLink Id specified on the server computer.

Type of Rule
This indicates the type of operation to be performed; the available options are Synchronize and Upload Transaction. If Tally Link Server is selected, this option defaults to Synchronize and cannot be changed.

Company Name on Server
Enter the name of company on the server computer with whom the sync is to be performed.

Synchronize Altered Transactions
To send altered transactions to remote clients set this option to Yes.

Sync over slow connection
If this option is set to Yes, Tally will send the vouchers in multiple small batches rather than in one big batch and will not time out if the connectivity is poor. This option must be set to Yes in most cases. If this option is set to No, the sync process takes a longer time as data are sent in multiple batches.

Company GUID on Server (Read-Only)
Displays Company's Globally Unique ID

Current TID (Read-Only)
Displays the creation ID of the last synchronized voucher of the remote company. This id is generated to identify new transactions created at the remote end.

Altered TID (Read-Only)
Displays the altered ID of the last synchronized voucher of the remote company. This ID is generated to identify altered transactions at the remote end.

Is Active (Read-Only)
Displays Yes if the Client Rule has been activated by the server.

Remote Alter State (Read-Only)
Specifies whether Synchronize Altered Transactions is Yes or No on the server side for that particular client rule.

Creating a Server Rule

Go to Gateway of Tally > Import of Data > Synchronization > Synchronize. A request is sent to the server from the client computer to create a Server Rule corresponding to the Client Rule. A Server Rule is created implicitly whenever a Client Rule synchronizes with the server. Note: You cannot create a Server Rule manually.

You can see the status of synchronization in the Calculator pane in Tally on the client machine. If you do not receive an error message in this pane, the Server Rule has been created successfully

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Note: The Server Rule is in encrypted form.

Activating Server Rule

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Go to Gateway of Tally > Import of Data> Synchronization > Server Rules > Activate

Once the Server Rule is created it has to be activated on the server computer.

You can now Sync from the client computer to transfer your vouchers.

Altering the Server Rule
Go to Gateway of Tally > Import of Data > Synchronization > Server Rules > Alter

A List of Rules is displayed. Select the relevant rule. This will display the Server Rule Alteration screen.

The fields displayed in this screen will be in a read only mode except for Is Active and Synchronize Altered Transactions? .

Process of Synchronization

Ensure that the client computer and the server computer are connected to the Internet during the synchronization process. On the server computer : Start Tally > select the company (into which vouchers are to be synchronized from the client machine) > F12: Configuration > Sync configuration > Press the Connect Button. On the client computer: Start Tally > Select the company from which vouchers are to be synchronized > Gateway of Tally > Import of Transactions > Synchronization > Synchronize.

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

While synchronizing from the client computer the following message displays in the Calculator panel: Sync. Start at (time) and Sync End at (time). This ensures that the Client Rule has been synchronized successfully.

Activate server rule on the server computer :
Ensure that the company is kept open in the server computer.

From Gateway of Tally > Import of Transactions > Synchronisation > Server Rules > Activate

This displays the name of the Client Company and link ID. Set Is Activate and Synchronize Altered Transactions to Yes .

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Is Active?
Displays the status of the client rule at the server end.

Synchronize Altered Transaction?
Specifies if synchronization of altered transactions is to be done. On the client computer: Start Tally > Select the Company (from which vouchers are to be synchronized to the server machine) > Import of Transactions from Gateway of Tally > Synchronisation > Synchronize. On the client computer, a message displays on the Calculator panel: Sync. Start at (time) and Sync End at (time) .

This completes the synchronization process.

View Synchronized Vouchers

To view the synchronized vouchers, select Display > Day Book from computers.

Gateway of Tally in both server and client

Server Computer:

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Client Computer:

All the vouchers from the client replicates to the server. Next time, on opting for Sync , the synchronized vouchers will not be posted. However, the new and the altered vouchers from both the client and server will get updated on the respective computers. Ensure that the vouchers are not deleted after synchronisation. In case of deletion, ensure that it is done on both the sides (i.e., server and client computers). On canceling the voucher, the change is updated accordingly at both the ends.

Direct Synchronization

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Direct Sync is synchronization between a server and a client. Direct Synchronization can be over a LAN, WAN, the Internet or between two instances of Tally running on the same machine. It is usually done using a separate server The Tally Link Server is not used for Direct Synchronization. To enable this feature contact any of the nearest Tally Offices or send an email to support@tallysolutions.com The server version of Tally must be installed on the server computer and client version on the client computer, before proceeding. Note: Synchronization can be initiated only by the client.

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Direct Synchronization between Client and Server
Direct Synchronization can be between two different entities/organizations or between the head-office and branches of an organization. Assume that ABC Company maintains your accounts. You can Transfer data from your company to ABC Company using Direct Sync, provided ABC Company has a server version of Tally installed and can connect over a network. Other clients of ABC Company can also connect and transfer their Tally data. Here, ABC Company is the server and other entities that are synchronizing their data, are clients. Direct Synchronization can also be implemented between the Head Office and Branches of an Organization. Thus, when synchronizing between the Head office and Branches, the Head office must have a server version of Tally installed and connect over a network to the Branches. The Branches must have client versions of Tally installed.

Enable Direct Synchronization

To check whether Direct Sync is Enabled?
Go to Gateway of Tally> F12: Configure > Licensing > Add-ons If you have installed a client copy of Tally and have enabled Direct Sync, then you will see Direct Client displayed. If you have installed a server copy of Tally then both Direct Client and Direct Server are displayed.

Configuring Tally.ini file for Direct Sync

Open the Tally.ini file in notepad from the Tally installed folder.

For Client:

Enter Clientserver = client in the file and save. This specifies that Tally is to be run in client mode.

For Server:

Enter Clientserver = server in the file. This specifies that Tally is to be run in server mode.

Enter the TCP/IP Port number of the server and save.

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Configuring Synchronization

On Client Computer

Open Tally and select a company.

Go to Gateway of Tally> F12: Configure > Connectivity> Sync Configuration to display the Tally Sync Configuration screen.

Set Yes in Ignore Server’s modified Voucher Type Masters? field if you do not want to replace the original transaction after synchronization. Set No if you want the transaction to be replaced by the modified transaction from the server.

By default, Use TallyLink? field is set to No .

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

On Server Computer

Open Tally on the server and select a company. Go to Gateway of Tally > F12: Configure > Connectivity> Sync Configuration to display the Tally Sync Configuration screen. Set Yes in Ignore Client’s modified Voucher Type Masters? field if you do not want to replace the original transaction after synchronization. Set No if you want the transaction to be replaced by the modified transaction By default, Use TallyLink? field is set to No .

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Creating a Rule

Creating a Client Rule
Go to Gateway of Tally> Import of Data > Synchronization > Client Rules > Create

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Name of Rule - In this field, enter a name for the rule you are creating. You cannot enter an existing ClientRule name. Note: By default, the Use TallyLinkServer ? field is skipped when you use Direct Sync

. Server URL - Enter the uniform resource locator (URL) of the server. This is the IP address/Name of the Tally server. Example: (192.168.1.206/ Localhost). Enter the TCP/IP port number of the server preceded by a colon after the URL. Note: Tally.ini By file default, the to change synchronization port the port number in Tally is 9000. Change the parameters in

Secure Server? - Enter Yes in this field if you are synchronizing to a secure server. Entering Yes here gives you the option to enter your user name and password. User Name - Enter the user name you use to connect to the server. Password - Enter the password for the specified user name. Use Compression? - Enter Yes in this field to compress the data that you send to the server. Use this option to reduce the size of data files which synchronize and transfer data. Type of Rule - Select Synchronize from the Rule Types menu.

Company Name on Server – Enter the name of the company on the server that you want to synchronize. Synchronize Altered Transactions? – Set this option to Yes to synchronize back dated/altered transactions with the server. Sync over slow connection? – If you have a slow speed Internet connection like a dial-up connection, set this option to Yes . The time taken to transfer data could be more but data transfer will be efficient.

The following fields are Read Only:
Company GUID on Server – When you synchronize, Tally creates a Globally Unique Identifier (GUID) on the server. This GUID is displayed here. Current TID – This is the Current Transaction Identifier field and it displays the number of vouchers transferred. Altered TID – This is the Altered Transaction Identifier field and it displays the number of vouchers altered and transferred from the server to the client. Is Active – This field shows if synchronization is activated on the server. Remote Alter State – This field displays only if the Synchronize Altered Transactions field is set to Yes on the server for a particular Client Rule.

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Creating a Server Rule
Refer Creating a Server Rule for more details.

Synchronization Completed

Go to Gateway of Tally > Import Transactions > Synchronization > Synchronize from the Client machine to start the synchronization process.

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The Calculator pane displays Sync. Start at and Sync. End at message.

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View Synchronized Vouchers

You can view the synchronized vouchers from Gateway of Tally > Display > Daybook or Gateway of Tally >Display > Statements of Accounts > Statistics Synchronization transfers vouchers along with the masters from the client computer to the server computer. Vouchers in the server computer will be replaced by modified vouchers from the client computer if the Ignore Client’s modified Voucher Type Masters? field is set to No on the server. Vouchers for the company in the server computer will be transferred back to the client computer in another instance of synchronization by the client.

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Here, the vouchers in the client computer will be replaced by modified vouchers from the server if the Ignore Client’s modified Voucher Type Masters? field is set to No on the client machine.

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Tally ODBC

Data can be accessed from any application using Open Database Connectivity (ODBC). Tally uses ODBC to connect to other programs and exchange data dynamically. Ensure that MS-Query is installed in the system in which you will be installing Tally. This enables as Tally is installed. The ODBC server automatically displays on the Calculator pane. More: Outward Connectivity Inward Connectivity ODBC as soon

Outward Connectivity

Outward Connectivity is to connect directly to send data from one program to another, without any programming. It allows the user to extract data from Tally and send it to other programs such as Microsoft Word or Excel. Outward Connectivity features: UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Print labels for greeting cards from ledger addresses stored in Tally.

Create templates for report and forms such as audit reports and Schedule VI forms and plug in data from Tally. UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Use popular programs in Tally’s open database, thereby giving you the flexibility to create your reports with up-to-date data from Tally.

More: Tally ODBC with Microsoft Word Tally ODBC with Microsoft Excel

Tally ODBC with Microsoft Word

Consider the following scenario. A company wants to send greeting cards to its customers. It can use the names and addresses of customers, stored in the Tally database to print labels. The steps to be followed are:

Start Tally and keep it open till the Mail Merge process is completed.

Ensure ODBC Server is displayed on Tally’s calculator pane.

Open MS Word.

Click on Tools > Mail Merge from the Menu bar.

From Main Document, click Create > Mailing Labels.

Click on Active Window.

In the Mail Merge Helper dialog box, click on Get Data > Create Data Source. Click on MS Query …from the Create Data Source dialog box.

Select TallyODBC from the Microsoft Query screen.

Query Wizard displays fields from Tally. Select Ledger and click the “>” button to select fields required in the query.

The screen appears as:

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Use the Filter Data dialog box to limit the data to suit your requirement.

Sort the data in ascending or descending order in the Sort Order dialog box.

Click on Finish to complete the Query process.

Click on Set Up Main Document.

In Create Label dialog box, click on Insert Merge Field to insert the fields and click OK.

The screen appears as:

Click on Merge from Mail Merge Helper dialog box to create mailing labels in a new document.

The screen appears as:

Tally ODBC with Microsoft Excel

Tally ODBC extracts data from Tally and designs the reports in MS Excel. The steps to be followed are:

UNREGISTERED VERSION OF CHMthe Mail Merge process is completed. THETA-SOFTWARE Start Tally and keep it open till TO PDF CONVERTER PRO BY
Ensure ODBC Server is displayed on Tally’s calculator pane.

Open MS Excel.

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Click on Data > Get External Data > New Database Query from the Menu.

Select TallyODBC from the Choose Data Source dialog box.

The screen appears as:

Query Wizard displays fields from Tally. Select and click the “>” button to select fields required in your query.

The screen appears as:

Use the Filter Data dialog box to limit the data to suit your requirement.

Sort your data in ascending or descending order in the Sort Order dialog box.

Click on Finish to complete the Query process.

Click on OK from the Returning External Data to Microsoft Excel dialog box to display the selected columns on the Excel sheet.

The screen appears as:

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Inward Connectivity

Inward connectivity integrates other systems with Tally to use data in them. Tally can be programmed for inward connectivity. This allows using data from other systems in Tally by creating an integrated system. For example, a customer contact management program containing details like status of an order and last contact made can be brought in Tally and merged in a report containing outstanding balances. Changes in the data in the program is immediately reflected in Tally. To connect to other programs and use external data in Tally, you can contact any of the nearest Tally Offices or send an email to support@tallysolutions.com

E-capabilities

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Exchange of data in a network is the order of the day in the world today. Import and export of data over a LAN or the Internet is a common feature in most organizations. E-Capablities is the ability of a software application/program to exchange data over a network. Tally has a broad range of E-Capabilites that allows you to E-mail data and publish reports and documents on the web.

E-Capabilities requirements:

UNREGISTERED VERSION OFIt can be a dial-up, CONVERTER PRO BY connection. 1. An Internet connection. CHM TO PDF cable, ISDN, DSL or satellite THETA-SOFTWARE
2. 3. An E-mail account to use the E-mail feature in Tally. A Uniform Resource Locator (URL) address to publish on the web, as well as the rights to upload files.

More: E-mail Web Publishing

E-mail (Electronic mail)

The E-mail is the most widely used facility on the Internet. It saves time and cost of postage. Use the email feature in Tally to:

E-mail any Tally report or document like invoices or purchase orders

Post reminder letters and statement of accounts

The following example illustrates the use of this feature in Tally:

E-mail a Reminder Letter
To send a reminder letter to a customer by email: 1. 2. 3. Go to Gateway of Tally > Display > Statements of Accounts > Outstandings > Ledger Select the customer’s/company’s ledger from the List of Ledgers Click on Email from the button bar or press Alt+M

3.

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

4.

The fields on the Mailing Ledger Outstanding form are automatically completed if you have given the required information during creation of the master records. Select No or press Backspace to change/modify the entries. Select Yes to accept.

5.

The E-mail Server field is highlighted next. This is a mandatory field. The first time you use this feature in Tally, enter the name of your SMTP server, example: mail.btinternet.com. Subsequently, Tally will automatically display the SMTP server name. Refer to your Internet Service Provider (ISP) or network administrator for further queries.

6.

The From field displays the name of your company entered in the Company Creation screen and stored in the Company Information Master records. You can also modify the default information. Press Enter.

7.

The From E-mail Address field displays the e-mail address entered in the Company Information Master data. Enter your email address, if you have not done so while creating a company, or if you want to change the id.

8.

Enter the user name and password in Authentication User Name (Only if required) and Password field respectively if the mail server requires authentication. In the Format field a pop-up screen lists the three formats in which you can generate your email:

9.

9.

ASCII (Comma delimited)

HTML (web-publishing)

XML (data interchange)

Select the type that suits your recipient. 10. To E-mail Address field is a mandatory field.

It displays the recipient's email address as entered in the Mailing and Related details during ledger creation. Enter the address if you have not done so while creating the ledger or if you want to modify the information. 11. Type the email address of another recipient to whom you want to send a carbon copy of the email in the CC (if any) field.

12.

The Subject field is filled by default and displays the subject of your mail. You can change it to a subject of your choice.

13.

Any text you enter in the Additional Text field precedes the report in the recipient’s mail program. You can use this field to type a message to the recipient. Additional Options provided in the form are:

14.

Include Post-Dated transactions.

Transactions?- Set

this

option

to Yes to include post-dated

Show overdue using Bill Date?- Set this option to Yes to show bill date in report.

Range of Bills to show:- Select all bills or overdue bills to display.

Format:- Select condensed or detailed format for your reminder letter.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Show Qty Info in Detailed Format?- This option is selected for the detailed format mode and displays quantity.

UNREGISTERED VERSIONbills of the following type:- Select the types ofBY THETA-SOFTWARE Show OF CHM TO PDF CONVERTER PRO bills from all, credit or debit bills.
Note: 15. Additional Options may vary depending upon the type of report you want to email.

Print Preview: Use the Print Preview screen to view the document before emailing. This shows how the document appears in the recipient’s email.

Web Publishing

All reports and documents generated in Tally can be published on your website. Tally can create reports in HTML format and upload the same directly to your website. For example, use this feature to inform your customers about the new price-range and stocks available for sale on your website. Tally uses the highest standard of data encryption methods to ensure security of data.

Uploading Reports on the Website
A website is a specific directory space allotted to you on that server. Protocols are set of rules and specifications on how data and files are transferred over a network. They cover all aspects of communication between computers including content, formatting and error control. To publish a report, statement or data generated in Tally, upload it to an Internet Server that has been configured to accept files in the specific protocols. Example: To publish your company’s balance sheet on your website: 1. 2. 3. Go to Gateway of Tally > Balance Sheet . Click the Upload button from the button bar or press Alt+O. The first time you upload, you will have to enter the required information on the screen displayed. The field Upload to has two options:

3.

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

FTP Site

Web Page (HTTP/HTTPS)

FTP Site

This site accepts files transfers in File Transfer Protocol (FTP). FTP is a common choice for data or file transfer to a website. Select this option unless your site accepts HTTP or HTTPS uploads.

Web Page – HTTP/HTTPS

Hyper Text Transfer Protocol (HTTP) is the standard for transferring HTML files over the Internet. HTTP Servers are pre-programmed to accept HTTP connections. HTTPS sites are servers configured to accept secure connections. They conform to standard security protocols (example: SSL and SET) to ensure that your data and files are not tampered during an upload. Use this if your server is set up for HTTP/HTTPS or else select FTP. 4. URL: Universal Resource Locator (URL) is the server address where you want to publish your report. For FTP, you will need to know the FTP server name and directory path. The FTP server name is the domain name of the Web server (example: ftp.server.com). The directory path is the folder on the server where the report is stored (example: /public_html). For a web page, an URL is typically in the form www.myweb.com/.

5.

Secure Server: This option displays when you select Web Page in Upload to field. Use a secure connection when the data is sensitive and your server is configured for it. A secure site is one that has alphabet s following http (https) and the URL in the address bar of your browser displays https://www.______.com.

6.

User Name (if any): Enter the user-name you need to access the server for uploading.

7.

Password (if any): Enter the password

N o t e : Internet servers authenticate your identity before you can put data and files on the site. If you are unsure about your user name, password, or FTP location, contact your Internet Service Provider (ISP). 8. Format: You can generate your reports in four formats. To know more about these formats, click on the links given below:

ASCII (Comma delimited)

HTML (web-publishing)

XML (data interchange)

Select the type that suits your requirement. 9. Destination File: This option displays on selecting an FTP Site in Upload to field. The default names are displayed. Modify if necessary.

Note: 10.

Additional

options

may

vary

depending

on

the

type

of

report

you

want

to

upload.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Print Preview: Use the Print Preview screen through the Print option to view the document before you upload.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Tax Deducted at Source (TDS)

Tax Deducted at Source (TDS) is one of the modes of collecting income tax. The buyer (Deductor) deducts the tax from the payment made to the seller (Deductee) and remits the tax to the Income Tax Department within the stipulated time. The buyers (Corporate and Non-Corporate) make payments (such as Salary, Rent, Interest on securities, Dividends, Insurance Commission, Professional Fees, Commission on Brokerage, Commission on Lottery Tickets, etc) to the sellers (Services) and deduct the requisite amount from such payments towards tax. The buyer files the TDS returns containing details of the seller and the bank, where the TDS amount is deposited to the Income Tax Department (ITD). The Income Tax Department has prescribed the formats for filing these returns electronically, which the buyer does in a CD/floppy. For additional details you can visit the Income Tax Website at http://www.incometaxindia.gov.in

Flowchart of TDS

A seller (Deductee) provides services to the buyer (Deductor). The buyer deducts the amount towards TDS prior to the services or the bills received. The buyer issues Form No.16A to the Deductee and deposits the deducted amount to the Authorised Bank (Treasury). The buyer files annual returns electronically to the Income Tax department. UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Electronic TDS (e-TDS)

The Income Tax Department has made it mandatory for all Corporate companies like private limited and public limited to file their TDS returns in electronic media (i.e. e-TDS returns). However, the Non - Corporate like individuals, proprietary firms and partnership firms can furnish their returns in physical form to their respective Income Tax Offices. They can also furnish their returns in electronic form through TIN facilitation centers established by NSDL. Filing of e-TDS return to Non- Corporate deductors is optional.

Filing of e-TDS Returns

The Buyer (Deductor) has to furnish the TDS returns in electronic form and Form 27A in physical form along with the e-TDS return CD/floppy. Form 27A must be furnished CHM TO PDF return (Form 24, PRO BY UNREGISTERED VERSION OFseparately for each CONVERTER 26 or 27). THETA-SOFTWARE NSDL has developed a utility called File Validation Utility (FVU) to verify whether the e-TDS return file prepared by the Buyer (deductors) conforms to the prescribed format.

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Transaction Flow in Tax Deducted at Source

Example 1: Indirect Expenses (Fees for Professional or Technical Services (Section 194J)
Manohar is a technical consultant for automobiles. He inspects used cars and prepares a report. Manohar (seller of the service) receives per car, Rs.500 for inspections. He inspects five cars in January 2005. So he has to receive Rs.2500 as service charges. Company 'A' pays him Rs.2250 towards service charges and pays Rs.250 to any Bank or IT counter towards TDS. The following diagram explains the transaction flow in TDS:

TDS in Tally

TDS (Tax Deducted at Source) in Tally provides an easy-to-use and flexible interface. It helps you to handle intricate cases and calculate the tax payable to the Income Tax Department. Tally calculates the tax OF parties/ PDF CONVERTER PRO is THETA-SOFTWARE UNREGISTERED VERSION of allCHM TOsuppliers where TDS deductionBY mandatory. It calculates the TDS automatically and prints Form16A certificates, Forms 26Q, 26, 27 and 27A (Cover Note) for Quarterly/ Annual Returns as per statutory requirement. It allows the user to view and print various TDS reports, Challans and TDS Outstanding statements.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Features of TDS in Tally
The TDS functionality in Tally supports the following features:

1. Simple and user-friendly 2. Quick and easy to set up and use 3. Accounting for tax on partial/full payment of bills 4. Flexibility for auto and manual calculation of TDS 5. Complete tracking of each transaction from deduction to payment 6. Challan management and printing for prompt and accurate filing of tax 7. The Auto allocation feature prevents error-prone data entry and helps track the transactions faster. 8. Form 16A management: Can be printed for a transaction

Can be printed for a period

Can be printed yearly

9. Allows multi-party printing 10. Exporting of data in NSDL compliant TDS file format. 11. Electronic format (e-TDS return) with Form 26Q, Form 26 , Form 27 and Form 27A which will be validated by the utility, provided by the government. 12. Generates Form 16A, TDS Challan, TDS Computation and TDS Payable reports.

Company Creation

Company Creation means providing basic information about the company whose books of accounts you want to maintain in Tally. Gateway of VERSION F3 CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE UNREGISTERED Tally > Alt +OF > Create Company

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Statutory Compliance for
Select the Country from the list of countries.

State
Select the appropriate State from the list.

PIN Code
Enter the Postal Index Number , which is numerical and of six digits

Enabling TDS in Tally

To enable TDS in Tally,

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In the Company Operations Alteration screen, 1. Set Enable Tax Deducted at Source and Set/Alter TDS Details to Yes

Go to Gateway of Tally> F11: Features> Statutory & Taxation

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

2.

Enter the TDS Deductor details in Company TDS Deductor Details screen

2.

A brief description on the fields that appear in the Company TDS Deductor Details screen is given below.

Tax Assessment Number
Enter the Tax Assessment Number (TAN) in this field. The Tax Assessment Number (TAN) is a ten-digit alphanumeric number, issued by the Income Tax Department (ITD) to the deductors. One Tax Assessment Number is adequate for different types of deductions. TAN must be quoted properly on all Challans, Payment for TDS, Returns, All Certificates - Issue in Form No.16/16A, All Returns and in all documents and other correspondences with Income-tax Department.

Income Tax Circle/Ward (TDS)
Enter the Income Tax Circle/Ward (TDS) issued by the Income Tax Department

Deductor Type
According to the nature of the organisation, select the Deductor Type (Government or Others) from the list.

Name of person responsible
Enter the name of the person authorised to file the TDS returns of your company.

Note: If Tally has the user name.

a

security

feature

enabled

then

this

field

is

automatically

filled

with

Designation
Enter the designation of the authorised person filing the TDS returns.

Statutory Info.

The Statutory Info. comprises Deductee Type and TDS Nature of Pymts reports.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Go to Gateway of Tally > Display > Statutory Info.

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The Statutory Info. displays the following options: 1. 2. TDS Nature of Pymt Deductee Type

TDS Nature of Pymt

To view TDS Nature of payment: Go to Gateway of Tally > Display > Statutory Info. > TDS Nature of Pymt 1. 2. Select any desired type from the list of various nature of payments to go to TDS Nature of Pymt Display The display window comprises of the fields, Name, Section and Payment Code. There is also a table, where you have details such as Deductee Type, Applicable from, Exemption Limit and Rate.

Deductee Type

To view Deductee Types

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1. 2. Select the Deductee Type from the List of Deductee Types

Go to Gateway of Tally > Display > Statutory Info. > Deductee Types

The Deductee Type Display screen comprises Name of the Deductee Type, Residential Status and Deductee status. There is also a table for Deductee TDS Details with columns for Applicable from, Surcharge Exemption Limit, Surcharge, Additional Surcharge (Cess) and Additional Education (Cess). UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Creating TDS Masters

You can create TDS Ledgers under any of these main group heads:

UNREGISTERED Taxes 1. Duties and VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
2. Sundry Creditors 3. Sundry Debtors

UNREGISTERED(Assets) groupOFsub groups ofPDF CONVERTER PRO BY THETA-SOFTWARE Advances VERSION or CHM TO these main groups
5. Unsecured Loans 6. Loans (Liability) (except Bank OD A/c, Bank OCC A/c ) 7. Secured Loans 8. Unsecured Loans 9. Branches/Division 10. Reserves & Surplus 11. Capital Account 12. Fixed Assets N o t e:For Sundry and For ledgers created under Groups besides Duties & Taxes, Sundry Creditors and Debtors, to obtain the field Is TDS Applicable, set Maintain Bill-wise Details Non-Trading A/cs in F11: Features to Yes.

4. All Current Assets (except Bank, Cash-in-hand and Stock-in-hand), Misc. Expenses (Assets), Loans and

Creating a Tax Ledger

Create the Tax ledger under the group Duties and Taxes to calculate TDS at voucher entry levels. You can specify the Type of Duty/Tax only for Ledgers created under Duties and Taxes. To create a Tax Ledger for TDS on Rent, Go to Gateway of Tally> Accounts Info.> Ledgers> Create

1. 2.

Enter the Name of the ledger Select Duties & Taxes from the List of Groups in the Under field. On selecting Duties & Taxes, you will get a field Type of Duty/ Tax Select TDS from the Types of Duty/Tax list

3. 4.

3. 4. 5. 6. Select the appropriate TDS Nature of Payment from the List of TDS Nature of Payment If the total transaction limit exceeds the actual limit, set Ignore TDS Exemption Limit to Yes Accept to save the Ledger

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N o t e: You will find different categories under Tax Nature of Payment from the List of TDS Nature of company. Deduction. Select the relevant Payment that applies to your TDS

Similarly, you can create different Tax Ledgers.

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Creating a Party Ledger

T o create a Party ledger grouped under Sundry Debtors or Sundry Creditors , Go to Gateway of Tally> Accounts Info.> Ledgers> Create 1. 2. 3. 4. Enter the Name of the Ledger Select Sundry Debtors or Sundry Creditors from the List of Groups in the Under field If required, set Maintain balances bill-by-bill to Yes Set Is TDS Applicable to Yes

In the TDS Details screen:

Select the Deductee Type from the List of Deductee Types

Set Is Lower/No Deduction Applicable to No if not applicable

To ignore the exemption limit for surcharge and to calculate the surcharge on the amount specified, set Ignore Surcharge Exemption Limit to Yes

5.

Enter the Mailing Details and Tax Information

5.

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

6.

Accept to save the Ledger

Note: While creating ledgers under Sundry Creditors or Maintain Bill-wise Details is set to Yes. If the party is then PIN Code, State and the Sales Tax Number fields

Sundry Debtors, ensure a Non Resident Deductee are not applicable.

type,

Creating a Party where Lower/No Deduction is Applicable

To create a TDS Party where Lower/No Deduction is applicable, Go to Gateway of Tally> Accounts Info.> Ledgers> Create 1. 2. 3. 4. Enter the Name of the Party Select the Group from the List of Groups at the Under field By default Maintain balances bill by bill is set to Yes Set Is TDS Applicable to Yes

In the TDS Details Screen, Select the Deductee Type from the List Of Deductee types Set Is Lower/No Deduction Applicable to Yes Select the Section number from the list. If 197 is selected, the cursor skips to the TDS Lower Rate field and you can enter the TDS Lower Rate in this field. If the section number 197A is selected, the cursor skips to Ignore Surcharge Exemption Limit? in the Ledger Creation screen and the TDS rate is taken as zero .

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

5. 6.

Enter the Mailing Details and Tax Information Accept to save the ledger

Creating a Journal Voucher to book the TDS Expense

U sing the Journal, you can book expenses, deduct the TDS and pay the amount to the party for their s ervices. To book TDS expenses, Go to Gateway of Tally> Accounting Vouchers> Journal Vouchers 1. Debit the ledger Rent grouped under Indirect Expenses from the List of Ledger Accounts and enter the amount Select Smart Enterprises from the list and the amount to be credited appears in the Credit column

2.

3.

In the Bill-wise Details for screen: 3. 4. Select New Ref as the Type of Ref Select the TDS ledger from the List of TDS Ledgers and the Amount appears automatically

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

5.

Enter a Narration if required and Accept to save the journal

Note : Tally.

Booking

the

TDS

Expense

can

be

done

using

the

Purchase

voucher

available

in

Deduction of TDS using Journal voucher with TDS Deduction Button

You can create a Journal using the TDS Deduction button, to record all the TDS deductions for parties who provide services. The List of Ledger Accounts displays only those ledger accounts which are enabled for TDS and transaction passed where deduction of due. Go to Gateway of Tally> Accounting Vouchers> F7: Journal 1. 2. 3. Click the TDS Deduction Button or press ALT+S . You will get a list of TDS Ledgers for the party selected Select the TDS Party Ledger from the list In the TDS Details for screen, select the TDS Ledger from the list (TDS on Rent). The system calculates the Net TDS to Deduct amount Select the TDS Applicable Bills from the list

4.

5.

Accepting the TDS details sub form will post the Net TDS to Deduct amount in the Debit column of the Journal Voucher screen

6.

5.

6.

Press the Enter key to credit the Tax Ledger (TDS on Rent). You may enter the for identification and accept the screen to save the Journal Voucher

New Reference number

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Creating a Journal Voucher to book the TDS Expense for a Lower/No Deduction party

To book TDS Expenses for a Lower/No Deduction Party , Go to Gateway of Tally> Accounting Vouchers> Journal Vouchers 1. Debit the ledger Rent grouped under Indirect Expenses from the List of Ledger Accounts and enter the amount Select ABB Enterprises from the list and the amount to be credited appears in the Credit column

2.

In the Bill-wise Details for screen, 3.

3. 4.

Select New Ref as the Type of Ref Select the TDS ledger from the List of TDS Ledgers and details in Is Lower/No Deduction , Section Number and Amount will appear automatically.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

If you have created the Party and set Is Lower/No Deduction Applicable to Yes , you can still override the specified TDS rates and make changes to the percentage of Income Tax at the voucher entry level by setting Allow Alteration of TDS Rates and Values in F12: Configure to Yes .

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

5.

Enter a Narration if required and Accept to save the journal

5.

TDS deduction using the TDS Deduction button
Go to Gateway of Tally> Accounting Vouchers> F7: Journal 1. 2. 3. Click the TDS Deduction Button or press ALT+S . You will get a list of TDS Ledgers for the party selected Select the TDS Party Ledger from the list In the TDS Details for screen, select the TDS Ledger from the list (TDS on Rent). The system calculates the Net TDS to Deduct amount Select the TDS Applicable Bills from the list

4.

4.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

5.

Accepting the TDS details sub form will post the Net TDS to Deduct amount in the Debit column of the Journal Voucher screen Press Enter to credit the Tax Ledger (TDS on Rent). You may enter the New Reference number for identification and accept the screen to save the Journal Voucher

6.

6.

7.

Accept the screen to save the Journal voucher

Payment Voucher

You can pay the TDS pending bills for the selected TDS ledger via the Payment voucher, either by using the Helper Button or by entering details manually.

TDS

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
TDS Challan Payment

Payment to the Party ( While Paying the Advance)

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Creating a Payment Voucher using the TDS Helper button

The TDS transactions in a payment voucher can be entered for a particular deductee status, using the TDS Helper button. Go to Gateway of Tally > Accounting Vouchers > Payment Voucher > TDS Helper 1. Press F5 at the Voucher Entry screen and click on TDS Helper button or press ALT+S to make a TDS Challan Payment Voucher This functionality of Tally gives you tremendous flexibility to generate the payment vouchers, for any period and to any deductee.

2.

Note: The TDS Helper button is in F12: Configure is set to Yes.

enabled

if

Use

Single

Entry

Mode

for

Pymt/Rcpt/Contra

Fields in TDS Filters sub form:
TDS Ledger
Select the TDS Ledger from the list.

Deductee Status
Select the Deductee Status from the list.

To Date
In this field user may enter, the To Date of the period for which the TDS values should be computed and autofilled. 3. Select the Bank ledger in which the payment to the Tax Ledger is made after the TDS deduction. The Tax amount is automatically calculated.

3.

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

4. 5.

Accept to save the voucher To print this voucher as a TDS Challan, click on the Print button or press ALT+P from the payment voucher. It will display the Voucher Printing dialog window. You can configure the payment voucher as depicted in the screen below. If you wish to view the challan in a preview mode, click on With Preview button or press ALT+I

6.

Set Print as TDS Challan to Yes . Accepting the Voucher Printing sub form will display the TDS Challan in Print Preview mode. Click Zoom or press Alt+Z to view the TDS Challan

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

7.

Click on Print to print the TDS Challan

Creating a Payment Voucher

The TDS transactions in a payment voucher can be entered manually.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
1. 2. Select the Bank from the list in the Account field Select the Party from the list

Go to Gateway of Tally> Accounting Voucher> F5: Payment Voucher

3. Enter VERSION UNREGISTEREDthe Amount OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE 4. On entering the amount you will get the Bill wise details sub form. Select the Agst Ref from the list of pending bills

5.

Accepting the Bill-wise Details For sub form will display the screen shown below

5.

6.

Accept to save the Payment voucher

Advance to a Party

Assume ABC Company has decided to pay an advance of Rs.1 50 000 to a party (Apt Advertisement) for their service on advertising for this year. The Total taxable amount on Rs.1 50 000 will be 1% as Tax, 10% as surcharge and 2% as Additional surcharge. After deducting the TDS from your Total Amount Paid/Payable, the Net TDS to deduct would be Rs.1, CHM UNREGISTERED VERSION OF683.00. TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Creating a Payment Voucher (To Party Account)

To make a Payment to the Party, Go to Gateway of Tally > Accounting Vouchers > Payment 1. 2. 3. Select the Bank Account from the list Select the Party from the list and enter the advance amount that you wish to pay to the party You will get the Bill wise Details sub form, select the type of reference as Advance and enter a name. Select the appropriate TDS ledger (TDS on Advertisement) from the list. (If the TDS Ledger is selected as Not Applicable then such transactions are considered as Payments for which TDS will not be deducted) The amount entered in the debit amount is displayed in the Amount column

4.

5.

4.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

5.

After entering the Bill-wise Details , the TDS Details for the selected TDS ledger (TDS on Advertisement) appears. This sub form displays the party , Type of Deductee , Amount, total taxable amount , income tax , Surcharge and Additional Surcharge . The total taxable amount is calculated till date in this sub form. Enter the name of the reference

6.

The TDS Details for the selected TDS ledger (TDS on Advertisement) appears. This sub form displays the party , type of deductee , amount , total taxable amount , income tax , surcharge and additional surcharge . The total taxable amount is calculated till date in this sub form. Enter the name of the reference The Net TDS to Deduct on the Tax ledger is calculated according to percentages. Accept the TDS details sub form. The Taxable amount for TDS on Advertisement appears as credit in the Payment voucher screen

7.

7.

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

8.

Accept the Payment voucher screen to save the entry

Creating a TDS Challan

The TDS challan payment voucher can be entered using the TDS Helper button available in Tally. Go to Gateway of Tally > Accounting Vouchers > F5: Payment Voucher 1. 2. 3. Click the TDS Deduction Button or press ALT+S In the TDS Filters screen, select the TDS Ledger , Deductee Status and enter the To Date Select the Account (Bank) from the list

4.

Accept the Payment voucher screen to save the entry

4.

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

TDS Challan Reconciliation

R econciliation of Challan Payments made to Bank for TDS accounts is done in the Ledger Voucher report. Go to Gateway of Tally > Display > Accounts Book > Ledger > Select the TDS ledger from the list

The Ledger Vouchers Report provides a list of vouchers for the current month. You may view the Ledger Vouchers by drilling down. 1. 2. Click on the F5 : Challan Reconcile button or press ALT+F5 to view the Challan Reconciliation report Enter the Bank Challan Number , Challan Date , Cheque/DD Number , Bank Name and the Bank Branch Code OR use Set Challan Details (Alt +S) button from the Toolbar to reconcile challans from the TDS Challan Reconciliation screen for a selected period which has to be specified in the Ledgers Vouchers screen

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
3. Enter the Bank Challan Number , Challan Date , Bank Name and BSR Code . Accept to Save and the details are entered are applicable to the selected vouchers

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

4.

Enter the Cheque/DD number and accept the Challan Reconciliation report to save the entry

TDS Reports

TDS Reports in Tally display the tax amount of the concerned party/supplier. Tally generates Form 16A and Form 27A and also provides the printing option to print these forms. You can export the e-TDS forms (Form 26/Form27/Form 26Q/Form 27Q) from Tally. The exported file will be saved in the defined path specified in the Output file name. You can get the e-TDS file validated through NSDL freely downloadable utility, File Validation Utility (FVU) to verify whether the e-TDS return file prepared by the deductors conform to the prescribed format. Go to Gateway of Tally > Display > Statutory Reports > TDS Reports Click on the TDS Reports option to display the following

Print Form16A

Print Form 16A option provides the facility to preview and print Form 16A.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Go to Gateway of Tally > Display > Statutory Reports > TDS Reports > Print Form 16A

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

1. On selecting the TDS Party Ledger from the List Of TDS Party Ledgers , Tally generates Form 16A report in preview mode 2. Use the buttons from the button bar to set printing options such as selecting the printer, number of copies, method, page range, paper type, paper size and print area

2.

3. Select TDS ledger from the list and enter the From , To and Challan Till date 4. Select the Type of Copy . Enter the Certificate No , Place and Date 5. Click on Yes to view Form 16A in print preview mode. Click on Zoom or press ALT+Z from the print preview screen to display the report as below

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

6.

6.

Click the Print button or press ALT+P to print Form 16A

ETDS Forms

ETDS Forms enable you to export the eTDS Forms for the specific period.

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Go to Gateway of Tally > Display > Statutory Reports > ETDS Forms

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Format
Tally exports the data in SDF format. NSDL’s File Validation Utility (FVU) accepts only .txt files. Set the output filename with .txt extension .

Output File Name
Enter a name for the file with .txt extension to be exported. By default the file will be saved as Tally.txt in the Tally folder in your computer. To export to a different folder enter the path in Output File Name. For example,

C:\differentfolder\eTDS.txt).

Person Responsible Details
The Person Responsible Details will capture the information provided at the time of Company Creation. But if you wish to modify, press the Backspace key to navigate to any field.

Form Name
Select the required Form (Form 26/Form 27/Form 26Q/Form 27Q) from the Form type pop up.

Other Details
From (blank for beginning)
Enter the From date

To (blank for beginning)
Enter the To date

Challan Till Date
This field is provided to enter the date of the next quarter/next Year depending on the Quarterly (Form 26Q/Form 27Q) or Annual (Form 26/Form 27) returns. For example, if the Expense booking & TDS (deduction) vouchers are done in the first quarter (5.4.2007) and its payment is done on 7.07.2007, then the From date will be 1.4.2007 , To Date will be 30.6.2007 and Challan Till Date will be 7.07.2007 .

Upload Type
Upload type has two options - Regular and Corrected Returns 1. 2. Regular : Select Regular upload type if you are filing returns for the first time. Corrected Returns : Select Corrected Returns type if you have made any corrections from the previous returns.

Is Change in Address of TAN since last Return?
If you have changed your company address in company alteration screen since last return, set this option to Yes . Else set it to No . Click on Yes to Export the file (Form 26/Form27/Form 26Q/Form 27Q) from Tally. The exported file will be saved in the defined path specified in the Output file name. You can get the file validated through NSDL freely downloadable utility File Validation Utility (FVU) to verify whether the e-TDS return file prepared by the deductors conform to the prescribed format. Note: Depending on From and To date, the return annually. For example, 01-04-2005 to 30-6-2005 is 31-3-2006, Yearly. periodicity the First is set quarter as quarterly or and 01-04-2005

to

After preparation of the electronic return, entities have to verify the electronic return through the latest version of File Validation Utility (FVU) provided by NSDL which can be freely downloaded from the TIN-NSDL web-site.

To upload the file in File Validation Utility, you may refer to this link http://www.tinnsdl.com/onlineupproc.asp To view the exported file, open the folder where Tally is installed. The file is created in this folder by default.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Print Form 27A

Form 27A is a physical form with the summary of TDS return (Form 26/Form27/Form 26Q/Form 27Q), which contains control totals of Amount Paid and Income tax deducted at source in addition to other basic details along with CD/Floppy containing the e-TDS return data file. The control totals mentioned on Form 27A should match with the corresponding control totals in e-TDS return file. It should be submitted along with e-TDS returns. Clicking TDS Form 27A provides you with the facility to set the report titles and preview Form 27A . Go to Gateway of Tally > Display > Statutory Reports > TDS Reports > Print Form 27A Use the buttons provided on the Button Bar to set the printing option such as to select the printer, set the number of copies, method, page range, paper type, paper size and print area

Person Responsible Details

The Person Responsible Details will capture the information provided at the time of Company Creation. But if you wish to modify, press the Backspace key to navigate to any field.

Other Details
1. 2. 3. 4. Enter the From date Enter the To date

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Enter the Challan Date Select the Form type from the list at the field, Enclosed Form Type

5. Enter VERSION OF CHM if applicable UNREGISTEREDthe Previous Receipt No TO PDF CONVERTER PRO BY THETA-SOFTWARE 6. 7. 8. Enter the total number of annexure enclosed. Enter Other Information , if any. Enter the Place and Date

Click Yes to view Form 27A in print preview mode Click Zoom or press ALT+Z from the print preview screen to display the report as below:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Reconciliation Reports

The Reconciliation reports for TDS are as given below 1. 2. TDS Challan Reconciliation Form 16A Reconciliation

Form16A Reconciliation

This Report helps you to record the issue date of Form 16A

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
1. Select the TDS party ledger from the list

Go to Gateway of Tally > Display > Account Books > Ledger

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

2.

Click on F5: Form16A Reconcile button to reconcile Form 16A for the selected TDS party. Enter the Form 16A issue date and accept the screen

2.

Display Reports

To view TDS Statutory Information reports and MIS Reports, click on the links provided below 1. Statutory Info UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE 2. MIS Reports

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

MIS Reports

The MIS Reports provide you with the TDS Outstandings. To view the TDS Outstandings, Go to Gateway of Tally > Display> Statement of Accounts > TDS Outstandings

TDS Computation

To view the TDS Computation report,

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Go to Gateway of Tally > Display > Statements of Accounts > TDS Outstandings >TDS Computations

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1. 2.

The Particulars column provides you with the Name of the Party and its TDS ledger names Amount Paid/Payable Till Date column displays the total amount of the Bills accounted or payment made to the party The Tax column provides the amount of TDS computed as per the rate specified in the tax column, which is displayed below the TDS amount Surcharge is the total surcharge value computed as per the rate specified in this column, which is displayed below the Surcharge amount Addl. Surcharge (Cess) column displays the amount of Education Cess applicable as per the rate specified in this column, which is displayed below the Education Cess amount Addl. Education Cess column displays the amount of Additional Education Cess @ 1% as computed Total TDS column displays the total TDS amount including all additional taxes Less: TDS Deducted Till Date column provides the TDS amount deducted till date

3.

4.

5.

6. 7. 8. 9.

8. 9. Net TDS to Deduct column displays the TDS amount yet to be deducted from the bills accounted or payment made. If TDS is deducted using TDS journal and if the complete amount of TDS due is deducted. This column will not display any balance. Partial amount deducted will display the balance amount of TDS to be deducted in this column

Press F12 or click on the F12: Configure button.

In Show Party TDS PAN Number field enter Yes , to display the party’s PAN number in the report.

Click on the Print button or use ALT+P to print the TDS Computation report. This brings up the Printing TDS Computation configuration sub-form by which the user can customise the appearance of the Ledger report. Accept the TDS Computation configuration sub-form to view the TDS Computations report in print preview mode.

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

If the TDS payment is made to the government then such payment will not be displayed in TDS Computation drill down report.

TDS Payables

TDS Payables report gives you information on the status of TDS payable (pending) amounts for a particular TDS Ledger account. Go to Gateway of Tally > Display > Statements of Accounts > TDS Outstanding > TDS Payables The TDS Payables report provides the Outstandings for a Tax ledger accounts.

Note: If Enter. 1. 2. 3. 4.

you

wish

to

know

more

details

on

the

voucher

drill

down

further

by

pressing

Date : Date of creation as entered in the Payment/Journal/Purchase voucher Ref No : The payment Reference number TDS Ledger Name displays the TDS Ledgers created under Duties and Taxes Pending Amount : The pending amount that needs to paid by your company to the bank/party appears in this column Due on : The last date for the payment (Due date). Overdue by days : The number of days passed from the date of payment

5. 6.

Click on the Print button or use ALT+P to print the TDS Payable report. In the Printing TDS Outstanding screen, you can customise the Condensed or Detailed appearance of the TDS Payable by using the Backspace key to navigate to the fields. Accept the sub form to view the report in print preview mode.

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

TDS Ledger Outstandings

To find out the outstanding status of a particular tax ledger account, Go to Gateway of Tally > Display > Statements of Accounts > TDS Outstandings > Ledger Select the Tax ledger created under Duties and Taxes from the List of TDS Ledgers .

1. 2. 3. 4. 5.

The selected Tax L edger name appears at the top left corner of the screen The date of creation appears in the Date column as entered in the Payment/Journal/Purchase voucher The payment Reference number appears in the Ref No. column The Opening Amount appears in the Opening Amount column, if any The Pending Amount that needs to be paid by your company to the bank/party appears in the Pending Amount column The last date for the payment appears in the Due on column The number of days passed from the date of payment appears in the Overdue by days column

6. 7.

TDS Not Deducted

To view the TDS Not Deducted report,

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Press F12 or click on F12: Configure button

Go to Gateway of Tally > Exception Reports >TDS Not Deducted

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Set the field Show Party TDS PAN Number to Yes to display the PAN number in the report

This report will display only those transactions, for which TDS is not deducted or partially deducted. This is an exceptional report for non deduction or lesser deduction of TDS for the bills accounted or payment made. Click the Print button or use ALT+P to print the TDS Not Deducted report.

Multi-Form16A Printing

Form 16A can be printed for a selected TDS ledger with details of all the parties/suppliers associated with the selected ledger.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Go to Gateway of Tally > Multi Accounting Printing > Multi-Form 16A Printing

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

1.

Select TDS ledger from the list and enter the From and To date, Place and Date and accept the screen

1.

2.

Click the Print button or press ALT+P to print Multi-Form 16A

TCS Introduction

TCS is the Tax Collected at Source by the seller (collector) from the buyer/ lessee (collectee/ payee). The goods are as specified under section 206C of the Income Tax Act, 1961. If the purchase value of OF is X, TO PDF payable by the PRO BY THETA-SOFTWARE UNREGISTERED VERSIONgoodsCHM the amountCONVERTER buyer is X+Y, where Y is the value of tax at source. The seller deposits Y (tax collected at source) at any designated branch of banks authorised to receive the payment. The seller, lessor or licensor, is responsible for the collection of tax from the buyer, lessee or licensee. The tax is collected for sale of goods, on transactions, receipt of amount from the buyer in cash or issue of cheque, draft or any other mode, whichever is earlier.

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Classification of Seller for TCS

Under TCS, a seller is defined as any of the following:

Central Government

State Government

Any Local Authority

Any Statutory Corporation or Authority

Any Company

Any Partnership Firm

Any Co-operative Society

Any individual/HUF whose total sales or gross receipts exceed the prescribed monetary limits as specified under section 44AB during the previous year

Classification of Buyer for TCS

A buyer is classified as a person who obtains goods or the right to receive goods in any sale, auction, tender or any other mode. The following are not included:

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Public Sector Companies

Central Government

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State Government

Embassy of High Commission, Consulate and other Trade Representation of a Foreign State

Any Club, such as social clubs, sports clubs and the like

Goods and Transactions classified under TCS

Goods and transactions classified under TCS are listed below:

Alcoholic liquor for human consumption including Indian Made Foreign Liquor (IMFL)

Tendu leaves

Timber obtained under a forest lease

Timber obtained by any mode other than under a forest lease

Any other forest produce not being Timber or Tendu

Scrap (Scrap means waste and scrap from the manufacture or mechanical working of materials which is usable as such because of breakage, cutting up, wear and tear and other reasons)

Licensing or leasing of Parking Lot, Toll Plaza

Mining and quarrying

Note:

The

rate

of

surcharge

is

the

same

as

applicable

to

TDS

Certificate of TCS

The certificate of collection of tax at source has to be submitted in Form No-27D by persons collecting tax at source within a week from the last day of the month in which the tax was collected. If there is more than one OF CHM be PDF CONVERTER PRO BY THETA-SOFTWARE UNREGISTERED VERSIONcertificate to TOissued to a buyer for tax collected at source with respect to the period ending September 30 and March 31 in the financial year, then the person collecting the tax on request from the buyer can issue a consolidated certificate within one month from the end of such period. If an issued TCS certificate is lost, the person collecting tax at source may issue a duplicate certificate on plain paper, with necessary details as contained in Form-27D. The Assessing Officer (AO), before TO credit for the tax collected BY THETA-SOFTWARE UNREGISTERED VERSION OF CHMgivingPDF CONVERTER PROat source on the basis of the duplicate certificate, has to get the payment certified and obtain an Indemnity Bond from the assessee.

TCS Exemptions

TCS can be totally exempted or fixed at a lower rate under some circumstances.

Total Exemption: No TCS Collection
A declaration by the buyer in Form Number 27C (in duplicate) has to be made for total exemption. The declaration is if the goods listed are to be used for the purpose of manufacturing or processing and not trading. A copy of the declaration has to be given to the person collecting tax. The person collecting this declaration form has to submit the copy to the authorities concerned on or before the seventh day of the following month.

Lower Rate of TCS
The buyer (Collectee) can apply to the Assessing Officer (AO) for a lower rate, using Form No.13, subject to the condition that the AO is convinced that the total income of the buyer (Collectee) justifies the lower rate. The AO may issue a certificate, specifying the rate of collection.

Payment of TCS to the Government

The tax collected is to be paid to the Central Government within one week of the last day of the month in which the tax was collected. This payment is made in any branch of Reserve Bank of India (RBI), State Bank of India (SBI), or any other authorised bank. The payment is made accompanied by income tax challan 281. If the tax is collected on VERSION OF CHM then the CONVERTER without the income tax challan. UNREGISTEREDbehalf of the Government,TO PDFamount can be paidPRO BY THETA-SOFTWARE

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Electronic TCS (e-TCS)

e-TCS is the filing of TCS returns using electronic media. It is mandatory for corporate and government collectors to furnish TCS returns in electronic form, from financial year 2004-2005. Collectors (other than government and corporates) may file TCS returns in electronic or physical form. NSDL collects the e-TCS returns from the Collectors on behalf of the Income Tax Department.

TCS returns on computer media for e-TCS
TCS returns filed using computers should be in TCS specific form formats and must contain all the information, details and particulars specified in such forms. Computer media specifications are as follows (any of these):

CD ROM of capacity 650 MB or more

4mm 2GB/4GB (90M/120M) DAT Cartridge

3.5 Inches, 1.44 MB floppy diskette.

The returns must be accompanied by Form No.27B and verified.

Filing of TCS Returns

TCS returns are to be filed quarterly, in addition to annual returns.

UNREGISTERED VERSION OF CHMfiled in Form Number 27EQ onPRO BY July 15, October 15 and January The quarterly returns are to be TO PDF CONVERTER or before THETA-SOFTWARE
15, respectively for the first three quarters of the financial year. For the last quarter, the returns are to be filed on or before April 30.

Annual returns are to be filed in Form Number 27E on or before June 30 of the following financial year.

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TCS in Tally

Tally supports TCS and is a simple and easy-to-use feature. The complexities of TCS are handled by Tally making it easier for you to maintain records and file TCS returns. Tally calculates TCS in transactions, where ever applicable. Tally also generates Print and File TCS forms and reports (Statutory and MIS).

Features of TCS in Tally
TCS in Tally has the following features:

Simple and easy-to-use.

Maintain TCS records.

Lower/No Collection of TCS and Exemption Limit on Surcharge.

TCS Helper facility to pay TCS.

Print TCS Challan from Tally.

Generate TCS returns automatically from Tally and file.

E-TCS (electronic format) filing facility provided in Tally.

Generate Statutory Reports from Tally: Form 27D, E-TCS filing and Form 27B.

TCS Reconciliation Reports: TCS Challan Reconciliation and Form 27D Reconciliation

TCS Display Reports:

Statutory Masters: Collectee Types and TCS Nature of Goods MIS Reports: TCS Payables and TCS Ledger Outstandings

Enabling TCS in Tally

To enable TCS in Tally: 1. Go to VERSION OF UNREGISTEREDGateway of Tally CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

2.

Press F11 or click F11: Features > Statutory & Taxation to display the Company Operations Alteration screen.

3. Enter VERSION TCS and Set/Alter TCS Details UNREGISTEREDYes in EnableOF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

4.

Enter the Company TCS Collector Details .

4.

5.

Enter the Tax Assessment Number . The Tax Assessment Number (TAN) is a 10-digit alphanumeric number, issued by the Income Tax Department (ITD) to the collectors. Enter the Income Tax Circle/Ward (TCS) . This is issued by the Income Tax Department Select the Collector Type from the List of Company Type . Enter the Name of person responsible for filing the TCS returns. Enter the Designation of the person responsible for filing of the TCS returns. Press Enter and Accept to save.

6. 7. 8. 9. 10.

More: Enabling TDS in Tally

Statutory Info.

TCS Statutory Info. display goods under TCS and Collectee types and related details.

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TCS Nature of Goods

Go to Gateway of Tally > Display > Statutory Info.

Collectee Types

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TCS Nature of Goods

To view TCS Nature of Goods
1. 2. Go to Gateway of Tally > Display > Statutory Info. > TCS Nature of Goods Select from the List of TCS Types to display the TCS Nature of Goods Display

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Collectee Types

To view Collectee Types
1. 2. Go to Gateway of Tally > Display > Statutory Info. > Collectee Types Select from the List of Collectee Types to display the Collectee Type Display

C reating Party Ledgers for Sundry Debtors/ Sundry Creditors

To create Party Ledgers for Sundry Debtors/ Sundry Creditors

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
1. 2. 3. 4. Go to Gateway of Tally > Accounts Info > Ledgers > Create In the Ledger Creation screen, enter the name of the buyer company in the Name field In the Under field, select Sundry Debtors/Sundry Creditors option from the List of Groups If required, set Maintain balances bill-by-bill? to Yes . Enter details in the Default Credit Period , if applicable. By default, the Inventory Values are affected? field is set to No Set Yes for Is TCS Applicable ? Select from the List of Collectee Types for Buyer/Lessee

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5. 6.

7.

Set Yes in Is Lower/No Collection Applicable? if lower or no collection is applicable. Press Enter to display the Lower/No Collection Details screen. The existing Section Number is 206C by default. Enter the TCS Lower Rate (%) and press Enter

8.

Set Yes in Ignore Surcharge Exemption Limit? to ignore the exemption limit for surcharge and calculate

8. surcharge on the amount specified. If Ignore Surcharge Exemption Limit? is set to No , then surcharge is calculated only if the amount is above the exemption limit.

Note: Ignore Surcharge Exemption applicable to categories from the List 9. Accept Yes to save

Limit? field is of Collectee

displayed in Party Master if Types in B u y e r / L e s s e e field.

C reating Sales Ledgers for TCS

To create ledgers under Sales Accounts group

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1. 2. 3. 4. 5. Go to Gateway of Tally > Accounts Info > Ledgers > Create Enter a name for the sales account ledger in the Name field In the Under field, select Sales Accounts from the List of Groups Set the Inventory Values are affected? to Yes if you are maintaining inventory Accept to save

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5.

Creating TCS Ledger under Duties and Taxes

To create a TCS Ledger under Duties and Taxes for TCS on Sales

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1. 2. 3. 4. Go to Gateway of Tally > Accounts Info > Ledgers > Create In the Ledger Creation screen, enter the name of the TCS ledger in the Name field In the Under field, select the Duties & Taxes from List of Groups Select TCS from Types of Duty/Tax in the Type of Duty/Tax field

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5.

Select from the List of TCS Types in the Nature of Goods/ Contract/ License/ Lease : field

6. 7.

Set Inventory Values are affected? to No Accept to save

7.

Creating a Sales Voucher

To create Sales Voucher with TCS details

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1. 2. 3. 4. 5. 6. 7. Go to Gateway of Tally > Accounting Vouchers > F8: Sales Select As Invoice mode Enter the date and reference Select the Party to be credited from the List of Ledger Accounts and enter Party’s A/c Name In the Party Details screen, check/ modify details Select Sales Ledger from the List of Ledger Accounts Select the item from the List of Items in Name of Item

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Note: 9. 10. 11.

To

create

an

Item,

refer

to

the

topic,

Stock

Items

Enter the Quantity and the Rate to get the amount in the Amount field Select the TCS ledger (Under Duties & Taxes ) for sales By default, the gross amount is displayed in TCS Details in TCS Computations screen . The gross amount can be changed if required. Enter new reference (New Ref ) and Due Date, or Credit Days (By default, 7th of the following month).

12.

12.

12. 13.

Select any other expense ledger, if applicable,from the List of Ledger Accounts Enter narration, if required, and Accept to save

13.

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Note: 1. When you create a Credit ( Agst Ref. ) from the List of 2. When you create a Credit applied in the selected bill.

Note TCS Note

against a Payable . against a

sales

bill

select

the

respective

tax

bill

sales

bill,

surcharge

is

considered

as

Creating a Payment Voucher

You can create entries for payment of TCS in a normal payment voucher and manually pay TCS as shown here or you can create a TCS Payment voucher using the TCS Helper button from the button bar. This is an automatic feature which allows payment of TCS for all entries from a TCS ledger.

To create a TCS payment voucher manually
1. 2. 3. 4. 5. 6. Go to Gateway of Tally > Accounting Vouchers In the Accounting Voucher Creation screen select F5: Payment Enter the date Select and debit the TCS Ledger in Particulars from the List of Ledger Accounts and enter the amount In the Tax Details screen, select from List of TCS Payable and enter the amount Select and credit the Bank authorised to receive TCS in Particulars from the List of Ledger Accounts and enter the amount Enter Narration, if required, Print the TCS Challan , if required, Accept to save

7. 8. 9.

9.

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Creating a Payment Voucher using the TCS Helper button

Create a Payment voucher using the TCS Helper button from the button bar. This is an automatic feature which allows payment of TCS for all entries from a TCS ledger. You can use TCS Helper to pay TCS in one shot. Note: TCS Helper feature is available only P y m t / R c p t / C o n t r a ? from F12: Configure if Use Single Entry mode for (Voucher Configuration) is set to Y e s .

To create a TCS payment voucher using the TCS Helper button
1. 2. 3. Go to Gateway of Tally > Accounting Vouchers In the Accounting Voucher Creation screen select F5: Payment Press [Alt + R] or click the TCS Helper from the button bar to view the TCS Filters screen

4. 5.

Select from the List of TCS Ledgers and enter Select Buyer/Lessee Status from Deductee/Collectee Status and enter. This lets you prepare separate challans as it is mandatory for different types of Collectees Enter the To Date to select the period for generation of TCS challan

6.

7. 8. 9. 10. 11. 12. 13.

Enter the date Select the Bank ledger from the List of Ledger Accounts in Account Select the TCS Ledger in Particulars from the List of Ledger Accounts and enter the amount In the Tax Details screen, select from List of TCS Payable and enter the amount Enter Narration, if required, Print the TCS Challan , if required, Accept to save

12. 13.

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Printing TCS Challan

You can print TCS Challans for a TCS payment voucher created manually or created using the TCS Helper button.

To Print a TCS Challan
1. Press [Alt + P] or click on Print from the button bar in the Payment Voucher screen to view the Voucher Printing screen

2. 3.

Press Backspace to navigate from Print Yes or No? and move the cursor to Print a TCS Challan?

2. 3. 4. Set Yes for Print a TCS Challan? Set Yes for TCS Regular Assessment (Raised by I.T. Deptt.): if challans are for submission to the Income tax department Press Enter and Select Yes to Print

5.

UNREGISTERED VERSION OF CHM TO[Alt + CONVERTER preview BY THETA-SOFTWARE PDF I] option to PRO the challan to be printed. Note: Use the Print Preview

Print Preview for TCS tax challan

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TCS Reports

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TCS Reports in Tally
There are three types of TCS reports in Tally.

TCS reports in Tally are extensive. Statutory reports are integrated, making it convenient to print and file reports in government prescribed formats. Additionally, a wide of range reports such as reconciliation reports and display reports are available. These reports provide information at a glance and help in managing TCS issues with ease.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Statutory Reports
Reconciliation Reports

Display Reports

Statutory Reports

Statutory Reports are reports required in government prescribed formats for the purpose of filing returns. TCS statutory reports in Tally are dynamically generated. Print and file a report. E-Filing TCS returns is supported using the export feature. There are three types of TCS Statutory Reports.

Print Form 27D

E-TCS Forms

Print Form 27B

To view Statutory Reports
1. Go to Gateway of Tally > Display > Statutory Reports > TCS Reports

2.

TCS Reports menu displays the following options.

2.

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UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Print Form 27D

Form 27 D can be printed for a party by selecting a party ledger or multiple parties using Multi-form printing.

To print Form 27D
1. 2. 3. 4. 5. 6. 7. 8. 9. 10. Go to Gateway of Tally > Display > Statutory Reports > TCS Reports > Print Form 27D Select ledger from the List of TCS Party Ledgers In the Report Generation screen, press Backspace in the Print? Yes or No dialog box Select TCS ledger from the List of TCS Ledgers Enter the From and To date Enter the period for which the challan is required in Challan Date Till Enter the Type of Copy Enter the Certificate No Enter the Place and Date Select Yes to print

10.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Note:

Use

the

Print

Preview

option

to

view

the

form.

Form 27D is displayed as shown.

Multi-Form 27D Printing
Form 27D can be printed for a TCS ledger with TCS details for all the parties associated with the ledger. 1. 2.

1. 2. 3. 4.

Go to Gateway of Tally > Multi- Accounting Printing Set period using Alt + F2 Select on Multi-Form 27D Printing Press Backspace in Print? Yes or No from the Report Generation screen

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE 5. Select TCS Ledger
6. 7. 8. 9. Enter the From and To date, Place and Date of report generation Accept to Save Using PgUp and PgDn links to navigate in Print Preview screen Click Print or press ALT+P for printing multiple Form 27D

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

E-TCS Forms

To export TCS form for electronic filing
1. 2. 3. 4. 5. Go to Gateway of Tally > Display > Statutory Reports > TCS Reports > ETCS Forms Select Restricted (ASCII only) from the language list. In the Report Generation screen, press Backspace in Export? Yes or No dialog box The cursor goes to the Output File Name . Enter a file name. Tally exports the data in SDF format. NSDL’s File Validation Utility (FVU) accepts only .txt files. Set the output filename with .txt extension.

6. 7. 8. 9. 10. 11. 12. 13. 14. 15.

Enter Person Responsible Details Enter Yes or No for change in address since last return Enter the From and To date in Other Details Enter the period for which the challan is required in Challan Date Till Select the Form Name from Form Types Enter the Place and Date Select Upload Type from Upload Types menu Enter Yes or No for change in address of TAN Select Yes to export To view the file open the folder where Tally is installed. The file is created in this folder, by default

15.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Printing Form 27B

To print Form 27B
1. 2. 3. 4. 5. 6. 7. 8. 9. 10. 11. Go to Gateway of Tally > Display > Statutory Reports > TCS Reports > Print Form 27B In the Report Generation screen, press Backspace in the Print? Yes or No dialog box Enter Person Responsible Details Enter the From and To date in Other Details Enter the period for which the challan is required in Challan Date Till Enter the Enclosed Form Type Enter the Previous Receipt No Enter the No. of Annexures enclosed Enter Other Information , if applicable Enter the Place and Date Select Yes to print

11.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Note:

Use

the

Print

Preview

option

to

view

the

form.

Form 27B is displayed as shown.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

TCS Reconciliation Reports

Reconciliation reports are for TCS challan reconciliation and Form 27D reconciliation. TCS Challan Reconciliation Form 27D Reconciliation

TCS Challan Reconciliation

Reconciliation of Challan Payments to the assigned Bank for TCS is done in the Ledger Voucher report. 1. Go to VERSION OF > Display PDF CONVERTER PRO UNREGISTEREDGateway of Tally CHM TO > Accounts Book > Ledger BY THETA-SOFTWARE 2. 3. Select TCS ledger from the List of Ledgers Ledger Vouchers report is displayed with a list of receipt/payment vouchers

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE 4. Click F5: Challan Reconcile or press Alt+F5 to display TCS Challan Reconciliation report
5. 6. Enter the Bank Challan Number , Challan Date , Cheque/DD Number , Bank Name and BSR Code Accept to save

6.

N o t e : Use Set Challan Details (Alt +S) button from the Toolbar to reconcile challans at once from the TCS Challan Reconciliation screen for a selected period (Set period in the Ledgers Vouchers screen). Enter the Bank Challan Number, Challan Date, Bank Name and BSR Code. Accept to Save and the details are applicable to the selected vouchers.

Form 27D Reconciliation

Reconciliation of Form 27D TCS for a party is done in the Ledger Voucher report. 1. Go to VERSION OF > Display PDF CONVERTER PRO UNREGISTEREDGateway of Tally CHM TO > Accounts Book > Ledger BY THETA-SOFTWARE 2. 3. Select the Party ledger from the List of Ledgers Ledger Vouchers report is displayed with a list of the Party’s receipt vouchers

UNREGISTERED VERSION OF CHM or press Ctrl+F5 to display Form 27D Reconciliation report 4. Click on F5: Challan Reconcile TO PDF CONVERTER PRO BY THETA-SOFTWARE
5. 6. Enter the date of issue of Form 27D in Form 27D Issue Date Accept to save

6.

N o t e : Use Set all Dates (Alt + S) button from the Toolbar in Form to set the dates at once for all vouchers displayed for a selected

27 D period.

Reconciliation

Display Reports

Display reports are to view TCS statutory information reports and MIS Reports.

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Statutory Masters

The types of display reports are as follows.

MIS Reports

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MIS Reports

These reports provide information on TCS outstandings.

To view TCS Outstandings
1. 2. Go to Gateway of Tally > Display > Statements of Accounts > TCS Outstandings Select from

TCS Payables

Ledger

TCS Payables

To view TCS Payables

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
1. 2. TCS Outstanding screen is displayed.

Go to Gateway of Tally > Display >Statements of Accounts > TCS Outstandings > TCS Payables

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

TCS Ledger Outstandings

To view TCS Ledger Outstandings
1. 2. Go to Gateway of Tally > Display > Statements of Accounts > TCS Outstandings > Ledger Select from the List of TCS Ledgers to display the TCS Ledger Outstanding screen.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Introduction

VAT is a system of indirect taxation, which has been introduced in lieu of sales tax. It is the tax paid by the producers, manufacturers, retailers or any other dealer who add value to the goods and that is ultimately passed on to the consumer. VAT has been introduced in India to ensure a fair and uniform system of taxation. It is an efficient, transparent, revenue-neutral, globally acceptable and easy to administer taxation system. It benefits the common man (consumer), businessman and the Government. VAT enhances competitiveness by removing the cascading effect of taxes on goods and makes the levy of tax simple and self-regulatory, ensuring flexibility to generate large revenues. The cascading effect is brought about by the existing structure of taxation where inputs are taxed before a commodity is produced and the output is taxed after it is produced. This causes an unfair double-taxation. However, in VAT, a set-off is given for input tax (tax paid on purchases). This results in the overall tax burden being rationalized and a fall in prices of goods. VAT makes the tax structure simple, hassle-free and export-oriented. The integration of VAT with Tally will help you in the smooth functioning of your business and eliminate the complications that might otherwise arise in VAT.

Concept of VAT

The essence of VAT is in providing set-off for input tax and this is applied through the concept of input credit/rebate. This input credit in relation to any period means setting off the amount of input tax by a registered dealer against the amount of his output tax. Value Added Tax (VAT) is based on the value addition to the goods, and the related VAT liability of CHM TO calculated by deducting the input credit from the tax collected UNREGISTERED VERSION OF the dealer is PDF CONVERTER PRO BY THETA-SOFTWARE on sales during the payment period. This concept is explained with an example, in the Computation of VAT section. VAT works in two different ways:

UNREGISTERED VERSION OF CHM TOmore output tax than the PROpaid as input, they will need to pay the PDF CONVERTER taxes BY THETA-SOFTWARE 1. If VAT-registered business receives
difference to the Commissioner of Taxes (State). 2. If the input tax paid is more than the output tax collected,

You can carry forward the Input credit and adjust it against the output tax in the subsequent months.

You can have the Input Credit refunded to you by the Government at the end of the current or following year.

You can receive refunds for Input Credit on exports within a period of three months.

General terminologies used in VAT

Term

Description

Input tax

This is a tax paid on purchases

Output tax

This is a tax charged on sales

The amount of Input tax that is permitted to be set off against Output tax. Input Credit Dealers with annual gross turnover not exceeding a certain threshold (threshold decided by the respective State Governments) can opt for a composition scheme whereby they will pay tax as a small percentage of their gross turnover. However, retailers opting for this composition scheme will not be entitled to Input Credit. The State Governments fix the periods and the procedures for the payment of the lump sum.

Composite Dealers

Justification of VAT

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
VAT also helps in eliminating the dreaded cascading effect of Tax.

VAT was adopted because the Sales Tax system is complex and induces non-compliance. It has been found to be a hindrance in the economic growth of Industry, State and the Country. This causes a huge loss of revenue to the government.

For instance, in the existing structure, inputs are taxed before a commodity is produced and the output is taxed after it is produced. This causes an unfair double taxation with cascading effects. However, in VAT, as a set-off is given for input tax as well as tax paid on previous purchases, overall tax burden will be rationalized and prices in general will fall. VAT thus makes the tax system simple and transparent.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Advantages of VAT over Sales Tax

As VAT is a multi-point tax with set-off for tax paid on purchases, it prevents repeated taxation of the same product.

Simple and Transparent: In the Sales tax system the amount of tax levied on the goods at all stages is not known. However, in VAT, the amount of tax would be known at each and every stage of goods sale or purchase.

VAT has the flexibility to generate large and buoyant revenues, as it levies tax on value additions.

Zero rating of tax on exports is possible in case of VAT.

Fair and Equitable: VAT introduces uniform tax rates across the state so that unfair advantage cannot be taken while levying the tax.

Procedure of simplification: Procedures related to filing of returns, payment of tax, furnishing declaration and assessment are simplified under the VAT system so as to minimize any interface between the tax payer and the tax collector.

Ability to provide same revenue to the Government with lower rates of tax.

Tax does not become a cost of doing business.

VAT Rates

According to the White Paper, there are 550 categories of goods under the VAT system. They are classified into the following four groups, depending on the VAT rate:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE VAT @ 4%
The largest number of goods (270) comprising of basic necessity items such as drugs and medicines, agricultural and industrial inputs, capital goods and declared goods are under 4% VAT rate.

Exempted from VAT

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
There are about 46 commodities under the exempted category. This includes a maximum of 10 commodities that each state would be allowed to select, from a broader approved list for VAT exemption. The exempted commodities include natural and unprocessed products in unorganized sector as well as items, which are legally barred from taxation.

VAT @ 1%
This is for a specific category of goods like gold, silver, etc.

VAT@12.5%
The remaining commodities are under the general VAT rate of 12.5%. N o t e : The few goods lottery tickets, petroleum determined. These items respective states. that are outside VAT as a matter of policy would include liquor, products, as the prices of these items are not fully marketwill continue to be taxed under the sales tax act of the

Computation of VAT and Profit

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The above diagram depicts computation of (10 %) VAT at each stage of business. Hence, it is not the manufacturers and retailers but only the consumer who has paid 10% VAT to the government. The profits for

manufacturers and retailers thus remain unaffected.

VAT in Tally

Features of VAT in Tally

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWAREmaking VAT is completely integrated with Tally. The VAT functionality in Tally supports the following features,
easier for computation:

it

Quick & easy setup

UNREGISTEREDFast & error-free voucher entryPDF CONVERTER PRO BY THETA-SOFTWARE VERSION OF CHM TO
Pre-defined list of sales & purchase classifications

Complete tracking of each transaction till annual returns

Printing of Tax invoice

VAT computation report

Better VAT-returns management

Monthly Return

Enabling VAT

Go to Gateway of Tally> Accounts info. > F11: Features > Statutory & Taxation . Set Enable Value Added Tax (VAT) and Set/Alter VAT Details to Yes

On enabling Set/Alter VAT Details to Yes, Tally will prompt with VAT Details Screen.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

VAT Details

UNREGISTERED the State name. CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Select VERSION OF
Set Type of Dealer? to Regular Enter the Regular VAT Applicable From date Accept the screen to save.

Note: State

All Classifications Model.

and

Statutory

forms

shown

here

are

based

on

the

Karnataka

Configuring Ledger for VAT Reporting

VAT Classification
The VAT Classification is a list of VAT rates, which describes the nature of the Business Activity and the type of transaction. These are in-built in the system and will be updated if and when any statutory changes take place. Some of the VAT classifications are:

Input VAT @ 4%

Input VAT @ 1%

Input VAT @ 12.5%

Output VAT @ 1%

Output VAT @ 4%

Output VAT @ 12.5%

Purchases - Capital Goods

Purchases - Exempt

Purchases from unregistered dealers

Depending on the type of the business, type of transaction, and the statutory requirements of your State, you will need to select the appropriate classifications from the list during Ledger creations, voucher entries, etc. The Sales and Purchase transactions are segregated based upon the classification selected during voucher entry and shown in the VAT computation. In the VAT Computation you can view the classification-wise VAT and Nett Values.

Ledger Masters
The VAT Classification will be displayed as a drop down list in the Ledger Masters. Tally gives the flexibility to the user, to either have the classification selected in the Ledger Master tagged to all transactions, Or, select different classifications each time during voucher entries. This is explained in detail in the Vouchers and Transactions section. The Ledgers that are affected by VAT are:

Purchase Ledger

Sales Ledger

Duties and Taxes Ledger

Direct Expenses/Income

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Creating a Purchase Ledger for VAT

The following additional fields pertaining to VAT can be seen in the Ledger entry screen. Go to Gateway of Tally > Accounts Info > Ledger > Create/Alter

Used in VAT Return
Set this to Yes if you wish to select VAT/Tax class for this Ledger. Note: Tally the Ledger time during gives the flexibility to the user to either have the classification selected in Master tagged to all transactions Or select different classifications each voucher entries. For more details refer Vouchers and Transactions.

The rest of the Ledger creation process is the same as in default Tally.

In the above example we have selected a VAT classification of 4%.

VAT classification - Purchase-Exempt
Let us take an example of a VAT exempted transaction below.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Used in VAT Returns
Set this to Yes and select Purchases - Exempt from VAT/Tax class for this Ledger.

Accept the screen to save.

Creating a Supplier ledger
Create a ledger for the Supplier from whom you are buying the VAT exempted item:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Note: entered

The TIN or Sales in the Ledger.

Tax

number

of

the

creditor

whichever

applicable

needs

to

be

If VAT is not enabled for your company, the TIN/Sales Tax No. field will be replaced by Sales Tax No. To learn about the actual transaction, refer to Creating Purchase Voucher (As Invoice) for VAT section.

Creating a Sales Ledger for VAT

Like in the Purchase Ledger screen, select the required VAT/Tax classification in the Sales Ledger as well. Go to Gateway of Tally > Accounts Info > Ledger > Create/Alter

Used in VAT Return
Set this to Yes if you wish to select VAT/Tax class for this Ledger. Note: Tally the Ledger time during gives the flexibility to the user to either have the classification selected in Master tagged to all transactions Or select different classifications each voucher entries. For more details refer Vouchers and Transactions.

The rest of the Ledger creation process is the same as in default Tally.

In the above example we have selected a VAT class of 4%. The rest of the settings are the same as in default Tally.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Creating a VAT Ledger under Duties and Taxes

The ledger for Input VAT is shown below:

Type of Duty/Tax
On the selection of group Duties and Taxes, the list of Tax Types CST, others and VAT, is displayed. Select VAT for VAT related transactions. N o t e : If you have V A T and T D S enabled, the list will also include TDS.

VAT/Tax Class
Like in the Purchase and Sales Ledger, this is a drop down list containing the VAT classifications. Select the appropriate classification or select Not Applicable if you wish to select the classifications at the Voucher level.

Percentage of calculation
This field will display the VAT rate that you selected in the VAT/Tax class field.

Method of calculation
This will display On VAT Rate if you have selected VAT under Type of Duty/Tax.

Output VAT

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

On selection of CST

Type of Duty/Tax
On selection of CST for Type of Duty/Tax , you can select either Inter-State Purchases or Inter-State Sales for Tax Class . Once you select this, you need to manually enter the Percentage of Calculation.

Method of Calculation
Once you enter the Percentage of calculation, select the Type of Duty from the drop down list.

Creating a VAT ledger under Direct Expenses/Income

Direct Expenses/Income

UNREGISTERED Classification OF CHM in thePDF CONVERTER PRO BY THETA-SOFTWARE VERSION is selected TO same manner as for the Sales and Purchase Ledger screen. The VAT/Tax

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The VAT related fields in the Direct Expense ledger is the same as for Purchase and Sales Ledgers.

The VAT related fields are same for Direct Income Ledger as well.

Vouchers and Transactions

The entire Data entry and Reporting architecture is based upon VAT Classifications selected during voucher entry.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Purchase

The Vouchers that are affected by VAT are as follows:

Sales

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Debit Note

Credit Note

Journals

Creating a Purchase Voucher (As Invoice) for VAT

Invoice can be classified into As Item Invoice and As Accounts Invoice . The VAT functionality though, is the same for both. Given below are examples of transactions in Item Invoice with implementation of VAT.

As Item Invoice
The selection and display of the VAT classifications in the vouchers differ according to the settings in the F12: Configuration screen.

F12: Configuration screen

Use Common Ledger A/c for Item Allocation - NO
If you wish to use more than one ledger during a voucher transaction, you have to set this to No . This way, you need to select a ledger for every item during voucher entry. When you set this to No , you can see the VAT/Tax

Class at the header region of the screen if the Yes .

Allow Selection of VAT/Tax Class during entry field is set to

Allow Selection of VAT/Tax Class during entry?-YES
Once you select Yes , you have the option to select the VAT classifications in the field VAT/Tax Class which is in header region of the Voucher screen. If it is set to No, the VAT/Tax Class will not be displayed in the voucher screen and the classifications will be taken from the Ledgers. Consider the UNREGISTERED following examples VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Example 1: Purchase@4%

The following is the entry for the purchase of item1 when VAT classification is Purchase @ 4%. This classification is selected from a drop down list at the header region of the screen UNREGISTERED VERSION OF CHM TO PDF CONVERTER as shown below. PRO BY THETA-SOFTWARE

N o t e : In the VAT/Tax select this option if entry.

Class field, there is an option you need different classifications

called Not for each

Applicable . You can item during voucher

You will need to select the Duties and Taxes ledger after you are done with the entry of all items.

It will now calculate the VAT amount and add it to the Amount to give you the total. F12: Configuration screen

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

U se Common Ledger A/c for Item Allocation-YES
When you wish to use the same Ledger for all items in a transaction, you can set this to Yes . Thus, you need not select a Ledger each time you enter an item during the voucher transaction. The following example to demonstrate the functioning of Assessable Value is shown by setting this field to Yes . Assessable Value : It is the value on which VAT is to be calculated. The value is arrived at after making proper deductions towards Trade discounts if any, and adjustments towards Excise/ED Cess payable. It is up to the user to calculate this and enter it under the Assessable Value column. This manual entry gives flexibility to the user to make the calculations as per the local statutory requirements. As this example does not include discount or Excise/ED Cess taxes, the Assessable Value will be Rs. 5000, which is retrieved from the Amount column. Let us assume we have:

A discount of Rs.200 on purchases

Excise tax of Rs.800 (16% of 5000)

ED Cess of Rs.16 (2% of 800)

1. Subtracting the discount amount: 5000 -200 = 4800 2. Adding the Excise tax amount : 4800+800= 5600 3. Adding the ED Cess amount : 5600+16= 5616 Therefore, our Assessable Value amount is Rs.5616. VAT is now calculated on this amount automatically on the selection of the tax ledger (Rs.224), as shown below.

The entries are to be passed similarly for Sales Voucher and Credit/Debit notes.

Example 2: Purchase-Exempt

This example is to demonstrate the working of Tally in the VAT exempted transactions and also to show the type and patterns of reports generated for such transactions. We are passing the following entry for the purchase of the VAT exempted item.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

As it is exempt from VAT, this particular transaction does not affect the VAT amount in any way. Similarly for Inter-state Sales/Purchases . N o t e : In the Voucher mode the header region. Therefore, always. there is no option for selection the VAT classification selected of in the the VAT classification at Ledgers will apply

Creating a Sales Vouchers (As Invoice) for VAT

Functionality of Sales Voucher is similar to that explained in the Purchase Voucher. understand the calculation of VAT, let us take the following example:

However, in order to

Assessable Value: The calculation is similar to that explained in Purchase voucher.

Printing Configuration
The Printing Configuration screen after the addition of new features will appear as follows:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Tax Invoice
You will see the following new sections pertaining to VAT in the Invoice:

Title of Document
This field prints the title entered in the Voucher Type Master .

E-mail
The e-mail address of your Company (as specified in the Company Master) will also be printed in the Sales Invoice, just below the address.

VAT %
This column can be enabled by setting Print VAT % to Yes in the Printing Configuration screen. The rate of VAT from the VAT classification selected during voucher entry is printed in this column.

VAT Analysis
This field prints the VAT amount on the total Net Value. That is, Rate of VAT, Assessable Value and VAT Amount is printed at the bottom right of the screen.

V AT Amount (In words)

Prints the VAT amount in words.

Company's TIN/LST No.
Prints the Company's TIN or LST number.

Company's CST No.
Prints the CST number entered in the Company master.

Buyer's TIN/Sales Tax No.
Prints the buyer's TIN or Sales Tax number, as the case may be.

Date & Time
The field Print Date & Time in the Printing Configuration screen needs to be set to Yes in order to print the date. However, in case Excise details are enabled the Date & Time is printed regardless of the setting in the Printing Configuration screen.

Declaration
The declaration entered in the Sales Voucher type Master will be printed. If it is not entered in the Sales Voucher type, Tally will print the following line by default: "We declare that this invoice shows the actual price of the goods described and that all particulars are true and correct". If you do not require this, you can set Print declaration to No in the Printing Configuration screen shown above.

Generated by
By default the Generated by field will display This is a Computer Generated Invoice . However, you can change it if required. This is printed at the bottom of the Invoice.

Copies of the Invoice
For five or more copies of the Invoice, each copy will be marked as follows: Original - Original Buyer's Copy Duplicate - Duplicate Seller's Copy Triplicate - Triplicate Transporter's Copy Quadraplicate - Extra copy Fifth and above - Extra Copy

Creating / Altering Sales Voucher Type Master for VAT

New Fields

UNREGISTERED VERSION fieldsCHM TO PDF CONVERTER PRO BY THETA-SOFTWARE OF added in the Sales Voucher Type Master. The following are the new
Go to Gateway of Tally > Accounts Info > Voucher Types > Alter

Default Print Title
You can set VERSION Tax Invoice in PDF CONVERTER PRO BY helpful since you need not UNREGISTEREDthe title for theOF CHM TO the Default Print Title field. This isTHETA-SOFTWARE change the title in Print Configuration each time you use different voucher types. For example, you can set it as Tax Invoice for Local Sales and Bill of Sale for Retail Invoice.

Is Tax Invoice
If Is Tax Invoice is set to Yes and the number of copies to be printed is more than one then the copy type is printed as follows: 1.Original – Buyer’s Copy 2. Duplicate – Seller’s Copy 3. Triplicate – Transporter’s Copy 4. Quadruplicate – Extra Copy 5. Extra Copy If Is Tax Invoice is set to No , and the number of copies to be printed is more than one, then the copy type is printed as follows: 1. Original 2. Duplicate 3. Triplicate 4. Quadruplicate – Extra Copy 5. Extra copy

Declaration
Provision is made to enter the Statutory declaration if applicable. The same will be printed in the Tax Invoice.

Note: printed Voucher Class

If in

the declaration the Invoice.

field

is

left

blank,

Tally's

default

declaration

will

get

Given here is an example of how a Tax Invoice having items with multiple tax rates can be generated using Voucher Class. If you press Enter on Name of Class in the screen displayed above you will see the following screen: You can make the entries as required.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Override using Item default
It is possible to enter a Tax Invoice having multiple items with different VAT Rates. Item default refers to the Sales Ledger account that you may have set for a stock item. If you set Override using Item default to Yes and specify a Sales Ledger in the Class Table the sales Ledgers set in the item masters will still be considered.

Setting Sales Ledger in the Item Master
Consider the Item Masters shown below:

Set Set/Modify Default Ledgers for Invoicing to Yes . The following screen displays.

If you do not see the field Set/Modify Default Ledgers in the Item Master, 1. 2. Go to Gateway of Tally > F12: Configuration > Accts/Inv Info Set Specify Default Ledger Allocation for Invoicing to Yes

1.

2.

Using the Sales Class in a Sales Invoice
1. 2. 3. Go to Gateway of Tally > Accounting Vouchers Select F8: Sales Invoice Select the Voucher Class Sales Class and make the entries

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

When entering Sales Invoices with the Voucher class, note that you will not be able to edit Assessable Value Field. If you have an additional ledger say, Discount Ledger there is a facility to edit the Assessable Value manually in the sub screen that pops up when you press Enter on the Output VAT Ledgers. In the above example, the discount has been deducted from the assessable value.

Payment of VAT in Tally

The Journal and Payment Voucher entries for the payment of VAT can be demonstrated with the example shown below.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

As shown in the screen above, the Output Tax is Rs.700.00 and Input Tax is Rs.424.64. The VAT payable is Rs.275.36.

Journal entry

Note:

The

VAT

payable

Ledger

is

under

the

group

Duties

and

Taxes.

Payment Voucher Entry

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The VAT payable Rs.275.36 is transferred to the Cash or Bank account.

Creating Debit Note / Credit Note for VAT

Purchase Returns - Debit Note
This is a Purchase Returns entry and you have to use the Debit Note Voucher.

Sales Returns - Credit Note
Let us take the example of a Sales Return. Here you have to use the Credit Note voucher.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Creating a Journal Voucher for VAT

If you need the Journal transactions for VAT Computation (for example, adjustment of Input credit, output tax, etc) you will need to make the following settings: Go to Gateway of Tally > Accounts Info > Voucher type > Create/Alter The following screen is displayed

Name of Class
You have to name the voucher class. In the above example, we have named it as VAT Adjustment Class. Once you press Enter , the following screen is displayed.

Use Class for VAT Adjustments UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Enable the option Use Class for VAT Adjustments to Yes , if you want the journal entries to be included in VAT Computation.

Journal Entries

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Let us consider a Purchase transaction and then a reverse entry for adjustment of Input credit. The following screen displays a typical Purchase Transaction.

Typical Purchase transaction

Reversal of Input Credit
1. Go to Journal voucher screen by selecting the button F7: Journal from the button bar, which is on the right side of the screen or by pressing the F7 key. You will see the following screen where you need to select the Voucher class created before. Once you select this you can pass the typical reversal entry as displayed below.

2. 3.

3.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Once you have selected this, you can pass the typical reversal entry as shown below:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

VAT Computation Report
The VAT Computation report will be displayed as shown below.

N o t e : Rs.50 claimed.

of

the

Input

credit

is

reversed

and

only

the

balance

of

Rs.

50

can

be

Input Credit Adjustment for Capital Goods

Input Credit for capital goods is available over a maximum period of 36 monthly installments (States have the option to reduce the number of installments).

UNREGISTERED VERSION OF CHMGoodsPDF CONVERTER PRO BY THETA-SOFTWARE The entry for the Purchase of Capital TO is the same as in default Tally.
Let us consider the following example for the adjustment of the Input credit. Purchase of Capital Goods for Rs. 5,00,000.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
That is, (20,000/36) = 555.56 Hence, Rs. 555.56 can be claimed in the first installment as Input credit. The Journal entry for this is passed as shown below.

The Input Credit is Rs. 20,000, which will be available over a period of 36 monthly installments.

The Drill down report will be displayed as follows.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Further Drill down report will be displayed as follows:

Input Credit Adjustment for Opening Stock

Sales Tax paid on unsold stock at the end of financial year, i.e. prior to commencement of VAT, is eligible to receive input credit on submission of the required documents by the dealer. For this, a claim is to be made to the VAT/ sub-VAT officer within 30 days of implementation of the Act. Once the assessing officer verifies it, the credit UNREGISTERED VERSION OF CHM installmentsCONVERTER PRO BY THETA-SOFTWARE may be adjusted or refunded in equal TO PDF over six months.

Journal Entries
In order to write off the Sales Tax incurred on closing stock in the next financial year, it is necessary to eliminate the tax charge from the UNREGISTERED VERSION stock CHM TO PDF are Rs. 20 000 andPRO BY THETA-SOFTWARE 57 000 OF value of the current year. Assuming the local respectively, the transaction can CONVERTER Rs. 37 500 purchases amount to Rs. where Purchases @ 4% and Purchases @ 12.5% be journalized as follows, selecting VAT Adjustment Class. (For more details on VAT adjustment class refer Journal )

Debit the Current Assets account Tax Recoverable A/c and credit the purchase accounts. Following the grant of relief by the Assessing officer, you can pass a journal entry every month in the next financial (VAT) year, to adjust the sales tax paid in the previous year. To claim the installment credit at the end of each month, pass a journal entry upon selecting VAT Adjustment Class .

The amount of Rs. 57 500 is broken into six equal installments of Rs.9 583.33 and claimed at the end of each month.

Enabling MRP Feature

To enable the Maximum Retail Price (MRP) feature in Tally,

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
2. Set the option Calculate VAT on MRP/Marginal to Yes

1. Go to Gateway of Tally > F12: Configure > Accts/Inv Info

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

MRP in Stock Item Master
Once MRP is enabled, two new fields, MRP and MRP Incl. of VAT will appear in the Stock Item Master Creation/Alteration. If MRP is inclusive of VAT, enter the MRP value in the MRP field and select Yes in the MRP Incl. of VAT field.

Single Stock Item Creation

Multiple Stock Item Creation

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Creating Sales Invoice for VAT on MRP

Given below are few examples to show the calculation of VAT based on MRP (inclusive and non-inclusive of taxes).

VAT Rate 4%
MRP Inclusive of Tax
Consider the sale of Item 1 , which attracts 4% VAT:

Item Name Item 1

Item Vatable @ % 4.0

MRP Incl. of Tax Yes

VAT % 3.85

MRP

QTY

VAT On 2000

VAT Amount 76.92

200

10

Calculations: 1. As MRP is inclusive of Tax, the actual VAT% is calculated as (100*Rate of VAT)/ (100+Rate of VAT) 2. VAT amount = (VAT % * VAT On )/100. 3. VAT On = MRP * Qty

MRP not Inclusive of Tax
Consider the sale of Item 2 , which also attracts 4% VAT:

Item Name Item 2

Item Vatable @ % 4.0

MRP Incl. of Tax No

VAT % 4

MRP

QTY

VAT On 1150

VAT Amount 46

115

10

As MRP is not inclusive of tax, VAT is calculated on MRP as (MRP * QTY)/100.

VAT Rate 12.5%
MRP Inclusive of Tax
Consider sale of Item 3 , which attracts 12.5% VAT:

Item Name Item 3

Item Vatable @ % 12.5.%

MRP Incl. of Tax Yes

VAT % 11.11

MRP

QTY

VAT On

VAT Amount 61.11

55

10

550

Calculations: 1. As MRP is inclusive of Tax, the actual VAT% is calculated as (100*Rate of VAT)/ (100+Rate of VAT) 2. VAT amount = (VAT % * VAT On )/100.

3. VAT On = MRP * Qty .

MRP not Inclusive of Tax
Consider the sale of Item 4 , which also attracts 12.5% VAT.

Item MRP Vatable @ Incl. of % Tax UNREGISTERED VERSION OF CHM TO PDF Item 4 12.5 No

Item Name

VAT % 12.5

MRP

QTY

VAT On

VAT Amount 268.75

CONVERTER PRO BY THETA-SOFTWARE
215 10 1075

As MRP is not inclusive of tax, VAT is calculated on MRP as (MRP * QTY )/100.

Sales Invoice Entry

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Calculate VAT on MRP/Marginal Price for Actual and Billed Quantity
If the option Calculate VAT on MRP/Marginal is activated in F12: Configure while creating Stock Item Masters, VAT is calculated automatically as follows:

Percentage of VAT (MRP x Actual Quantity)

If it is not enabled i.e. MRP=0, VAT is calculated automatically as follows: Percentage of VAT (MRP x Billed Quantity) This is in the case when Use Actual & Billed Qty is set to Yes in the F11: Features screen.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Creating Purchase Invoice for VAT on MRP

All calculations are the same as explained in the Sales Invoice .

Tax Invoice with MRP details

Printing Configuration
A new field included in OF CHM Configuration screen called PRO BY THETA-SOFTWARE UNREGISTEREDisVERSION the Printing TO PDF CONVERTERPrint MRP/Marginal Column . Set to order to have the MRP printed on the Invoice. Yes in

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The Tax Invoice for the transaction shown:

N o t e : The VAT amount

VAT Computation screen as in the default case.

will

show

the

original

Assessable

value

and

the

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

VAT Reports

As per VAT Act, every registered dealer is required to maintain proper Books of Accounts and records for all sale, purchase and production. And also VAT account-containing details of Input and Output tax.

VAT Reports in Tally
VAT reports in Tally

Statutory Reports

Sales Register

Sales Register reports provides complete information on sales turnover achieved for a specific period.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Go to Gateway of Tally > Display > Account Books > Sales Register Click on Columnar button or press the F5 key to re-define the columns and set the required parameters of reports, ledgers or groups to be shown individually or in a common column.

To view the Sales Register screen

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Set Show Partys' Tax Regn. No . to Yes. The Columnar Sales Register displays as below:

TIN/Sales Tax No.
The TIN Or the Sales Tax No. (Central or Local) of the Party is displayed here. As there is only a need to enter either the TIN or the Sales Tax No.(Central or Local) at any point of the transaction, and not both, one single field serves the purpose for all transactions (with or without VAT) . Thus, the TIN or Sales Tax number, whichever applicable, is entered in the TIN/Sales Tax No. (Central or Local) field in the Party Ledger Master. This is picked up in the Tax Invoice and displayed as shown above in the Sales Columnar Register . If VAT is not enabled for your company, the TIN/Sales Tax No . column will be replaced by Sales Tax No .

Statutory Reports

Statutory Reports are reports required in government prescribed formats for the purpose of filing . VAT statutory reports in Tally generates and prints state specific monthly, quarterly or annual VAT Returns. There are two types of VAT Statutory TO PDF UNREGISTERED VERSION OF CHMReports. CONVERTER PRO BY THETA-SOFTWARE

Vat Computation

VAT Forms

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
To view Statutory Reports
1. Go to Gateway of Tally > Display > Statutory Reports > VAT Reports

1.

VAT Reports menu displays the following options

1.

Important: A stat.900 file containing updated statutory VAT Return forms and amendments made as and when by the respective states, is uploaded on the Tally website. The same can be downloaded for immediate access.

VAT Computation

VAT Computation report displays various types of Input VAT Tax and Output VAT tax ledgers employed and transacted during voucher entry.

UNREGISTERED VERSION presentationTO how VAT is computed for a given period. It also provides a bird's Tally provides a clear-cut OF CHM on PDF CONVERTER PRO BY THETA-SOFTWARE
view of all transaction related to VAT.

eye

To view the VAT Computation report
Go to Gateway of Tally > Display > Statutory Reports > VAT UNREGISTERED VERSION OF CHM TO PDF CONVERTERReports > VAT Computation . PRO BY THETA-SOFTWARE VAT Calculations Let us consider the following that we made, for VAT Computation: 1. Purchased from Creditor-1, 100 quantities of item1 at the rate of Rs.50 each. The Input VAT@4% for this amount is Rs.200. 2. Purchased from Creditor, 100 quantities of item2 at the rate of Rs.50 each. However we applied a discount of Rs.200 here. Also, Excise tax of Rs.800 and Educational Cess of Rs.16 were levied on this. Therefore we applied the InputVAT@4% on the Assessable value of Rs.5616, which is Rs.224.64. Therefore total Input VAT = Rs.200 + Rs.224.64 = Rs.424.64 3. Sale of 50 quantities of item1@Rs.300 to Debtor-1 . OutputVAT@4% = Rs.600. 4. Sale of 100 quantities of item @ Rs.100 each. Output VAT@1%= 100 Therefore total Output VAT = Rs.600 + Rs.100 = Rs. 700 Therefore VAT Payable-> Output VAT - Input VAT = Rs.275.36 This is calculated automatically by Tally and the VAT Computation screen will be displayed as shown below.

The Reports for the two Purchases and one Sales transaction is shown below respectively:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

For VAT exempted or zero rated transactions
If you have transactions that are exempted from VAT but however want to have it displayed in the VAT Computation screen, you have to click on the F12: Configure button and set the Show all VAT classifications to Yes .

For example, in the case of Inter-State Sales, the Tax Amount column will show as NIL in the Computation screen.

Learn the effect of Purchase and Sales returns transactions in the VAT Computation and VAT Reports Screens

VAT Computation after Purchase/Sales returns

The following example is demonstrated assuming that you have gone through the VAT Computation section .

Purchase Returns - Debit Note UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Let us consider the following Purchase Returns entry:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Once this is done, the VAT Computation is displayed as shown below.

In the Purchases section, Rs. 500 is reduced from the Assessable Value and Rs. 20 is reduced from the Tax amount (while comparing with the VAT Computation before Purchase Returns). Therefore the VAT Payable is now Rs. 295.36 The VAT Computation Report will now show as follows:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Sales Returns - Credit Note
Let us take the example of a Sales Return.

The VAT Computation screen will now show as follows:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The Assessable Value under Sales has reduced from Rs. 25,000 to Rs. 23,500 and the Tax Amount to Rs. 640.00. This will show in the Reports as follows:

has reduced

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Therefore the VAT Computation and Reports are updated automatically as you pass the entries. Back to VAT Computation

VAT Forms

The VAT Forms Report is a statutory report. This report displays the VAT Return Form in the government prescribed format.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
To view the VAT Forms
1. Go to Gateway of Tally > Display > Statutory Reports > VAT Reports >VAT Forms 2. Use the keys Alt + P key or click on Print option to print your report.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE This will display the VAT Return Form screen.
Example: Under Karnataka VAT laws, Form No. 100 is the statutory form used for filing monthly returns by a registered dealer. Form No.100 contains different columns and indicate the turnover at different rates and the taxes applicable to them as per VAT definitions. Explanation on each column (i.e. Box)

Additional information:
For explanation on each column in the VAT Form (i.e. Box), Refer to Statutory Help which is available at www.tallysolutions.com

Introduction

Value Added Tax (VAT) is an indirect tax on goods, introduced in lieu of sales tax, to ensure transparency and greater compliance. The basic premise of VAT is to tax the “true value” added to the goods, at each stage of the transaction chain. This ultimately reduces: 1. Tax paid to the government. 2. Cost/tax passed onto the consumer.

VAT is a multi-point tax as against sales tax, which is a single-point tax. VAT removes the cascading effect of tax on tax, by allowing a set off for input tax, i.e. tax paid at earlier stage on purchases. It is an efficient, globally acceptable and easy to administer taxation system.

VAT Composition
In order to relieve some small businesses of the need to keep detailed records, the law has made provision for a simpler method of accounting for VAT. The method of calculating, VAT payable is also made easier. Such a method is called a VAT Composition Returns. The VAT Composition Returns states that “Small dealers with an annual gross turnover not exceeding 5 to 50 lakhs and subject to respective state act and rules, who are otherwise liable to pay VAT, shall however have the option for a composition scheme with payment of tax at a small percentage of gross turnover. The dealers opting for this composition scheme will not be entitled to input tax credit.” This scheme is a special method of determining the tax liability for specified dealers whose turnover in the year before April 1, 2005 or in the current year exceeds Rs. 5 lakhs but does not exceed Rs.50 lakhs and subject to respective state act and rules.

Types of Dealers

There are two types of Dealers. Registered VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE UNREGISTERED Dealers Unregistered Dealers

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Registered Dealers

A dealer whose gross annual turnover is above the VAT threshold limit is required to register under VAT. This is mandatory. A new dealer will be allowed 30 days time from the date of liability to get registered. A VAT registered dealer will be eligible for input tax credit. All Registered Dealers must follow the VAT law, irrespective of the size of the business. A Registered Dealer may sell to both Consumers and Non- Consumers. A registered dealer can opt for compositions scheme.

Unregistered Dealers
A dealer whose annual turnover is less than Rs.5 lakhs is an Unregistered Dealer and has been granted the status of a Consumer. So, the VAT paid by an Unregistered Dealer is treated as his cost and is charged no further VAT on his sale. It is assumed that such small dealers will not be supplying other industries or dealers. Therefore they are not included into the VAT chain. But if the small dealer is in the business of actually supplying to others besides consumers, then he can optionally choose to register and gain the benefits of a Registered Dealer. The registered dealer pays VAT on goods purchased from unregistered dealer.

Criteria for Registration under VAT Composition Returns

Dealers eligible to be registered under VAT Composition Returns
The VAT Composition Returns is available to Dealers who: Resell goods in retail Run a Restaurant, Eating house, Club, Hotel (Other than Star Hotels), Refreshment rooms or Boarding Establishments Cater and serve food with non-alcoholic drinks Run Bakeries Dealers in second hand motor vehicles Engage in executing works contracts

The rate of tax payable under VAT Composition Returns for small dealers and other category of dealers is different. N o t e: Dealers who make Inter-state purchases are not eligible for the VAT Composition R e t u r n s scheme. This provision applies to VAT implied in most of the states.

Dealers not eligible to be registered under VAT Composition Returns
The VAT Composition Returns is not available to: Manufacturers Importers Dealers who purchase any goods from a registered dealer on high seas basis Dealers who sell in retail Foreign Liquor and Country Liquor Dealers who sell in retail Drugs covered by Entry C-29 Dealers who sell in retail notified Motor Spirits

Procedure for Opting VAT Composition

1.

A Dealer, who is applying for a new VAT registration can opt to join the Vat Composition Returns by indicating the same in the appropriate box of the Application form. A Dealer, who is already registered under VAT, can opt to join the VAT Composition Returns scheme, by submitting the duly completed prescribed Form to the jurisdictional VAT officer.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
2.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
If you have selected to pay Tax under the VAT Composition Returns scheme: You will not be allowed to claim any credits for input tax paid on your purchases You will not be entitled to issue any tax invoices You will not be allowed to charge and collect tax from your customers You have to retain tax invoices and retail invoices for all purchases

Restrictions:

Filing VAT Composition Returns

The periodicity to file Composition Returns for small dealers and other category of dealers is different. Small traders in some states are required to file the returns on quarterly basis as prescribed under the Karnataka VAT Rules and in some other states like Maharashtra they are required to file the returns half yearly. For other category of composition dealer’s, returns are required to be filed monthly. However, some states have again linked this obligation of filing return based on their tax liability.

Advantages of VAT Composition Returns
The Dealers registered under VAT Composition Returns need not issue Tax Invoice under the VAT Act. The Dealers under VAT Composition Returns are required to pay flat rate of tax on their turnover. Any dealer can opt for this scheme after doing the Cost Benefit Analysis under the VAT Composition Returns as well as the regular scheme of VAT if he is eligible for the scheme. VAT Composition Returns is very simple.

Disadvantages of VAT Composition Returns
It is not possible to claim set off of any VAT paid on purchases Tax invoices cannot be issued to customers.

Enabling VAT Returns

Company Creation

UNREGISTERED VERSION OFbasic information about the company PRO BY THETA-SOFTWARE CHM TO PDF CONVERTER whose books of accounts are to be maintained To create a company, provide
in Tally Go to Gateway of Tally > Alt + F3 > Create Company

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

State Select West Bengal from the List of States.

Enabling VAT Composition Returns

Go to Gateway of Tally> Accounts info. > F11: Features > Statutory and Taxation. Set Enable Value Added Tax (VAT) and Set/Alter VAT Details to Yes

On enabling Set/Alter VAT Details to Yes, Tally will prompt with VAT Details Screen.

VAT Details

Select the State name.

Set Type of Dealer? to Composition and enter the Composition Scheme Applicable From date

Enter the applicable Tax Information detail in the Statutory and Taxation Screen

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Accept to Save the changes
Note: State All Classifications Model. and Statutory forms shown here are based on the West Bengal

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Creating a Customer ledger

To create a Party ledger , 1. 2. 3. 4. Go to Gateway of Tally > Accounts Info > Ledger > Create Enter the Name of the party ledger you wish to create. Select the group under which you are creating the party ledger. Enable Maintain balance bill-by-bill? to Yes , enter details in the Default Credit Period if applicable. By default the Inventory Values are affected ? field is set to No . Enter the Mailing Details and Tax Information Accept to save .

5. 6.

6.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Creating a Supplier Ledger

Creating a Supplier ledger is similar to creating the Party/Customer Ledger but it should be created under Sundry Creditors.

Creating a Tax Ledger

To create a Tax Ledger Master, 1. Go to VERSION OF > Accounts Info > Ledger > Create UNREGISTEREDGateway of Tally CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE 2. 3. Enter the Name of the Tax ledger you wish to create. Select the group Duties and Taxes from the list in the field Under.

UNREGISTERED VERSIONgroupCHM TO PDF CONVERTER PRO BY THETA-SOFTWARE . Select 4. On the selection of OF Duties and Taxes , you will get the option to select Type of Duty/Tax
Others from the list. 5. Accept to save the changes.

5.

Creating a Sales Ledger

To create a Sales Ledger, 1. Go to VERSION OF > Accounts Info > Ledger > Create UNREGISTEREDGateway of Tally CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE 2. 3. Enter the Name of the sales ledger you wish to create. Select the group under which you are creating the sales ledger .

UNREGISTERED VERSION OF CHM TO PDF CONVERTER select VAT THETA-SOFTWARE 4. Set the option Used in VAT Returns to Yes , if you want to PRO BY classifications for this Ledger.
5. 6. Once you set this to Yes , Tally prompts with VAT/Tax Class screen. Select the required classification from the drop down list under the field VAT/Tax Class . The drop down list consists of the Sales classifications pertaining to West Bengal state. If you do not wish to select a classification at the Ledger level , select Not Applicable .

Creating an Expense Ledger

To create an Expense ledger,

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE 1. Go to Gateway of Tally > Accounts Info > Ledger > Create
2. Enter the Name of the expense ledger you wish to create 3. Select the group under which you are creating the expense ledger

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

4. Accept to save the changes

Creating a TDS Ledger

To create an Expense ledger, 1. Go to VERSION OF > Accounts Info > Ledger > Create UNREGISTEREDGateway of Tally CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE 2. 3. Enter the Name of the TDS ledger you wish to create Select the Group under which you are creating the TDS ledger

UNREGISTERED VERSIONchanges 4. Accept to save the OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Create/Alter a Voucher Type

To create/Alter a Voucher Type, e.g. Journal 1. Go to VERSION OF Voucher Types CONVERTER Journal UNREGISTEREDAccounts Info. > CHM TO PDF> Create/Alter > PRO BY THETA-SOFTWARE 2. In the Voucher Type Alteration Screen, Type the Name of Class e.g. VAT Adjustment .

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Set Use Class for VAT Adjustments to Yes and accept the screen.

Creating a Purchase Voucher

To create a Purchase Voucher, 1. Go to VERSION OF > Accounting Vouchers > F9: Purchases UNREGISTEREDGateway of Tally CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE 2. 3. Select As Invoice . Enter the Reference in the Ref field , if required.

UNREGISTERED the Party’s A/c Name from the ListCONVERTER PRO BY THETA-SOFTWARE 4. Select VERSION OF CHM TO PDF of Ledger Accounts.
5. Select the required VAT/Tax Class from the drop down list.

6. 7. 8. 9.

Select the Name of Item from the List of Items Enter the Quantity and Rate . The amount is automatically displayed in the Amount field. Enter Narration , if required. Accept to save the voucher.

Similarly you can create Purchases Vouchers for Purchases from URDs- Exempt goods (Composition) , Purchases from URDs- MRP Bases (Composition) , Purchases from URDs- Taxable goods (Composition) , Purchases- Taxable Goods (Composition) and Purchases- MRP Based (Composition) .

Creating a Sales Voucher

To create a Sales Voucher, 1. Go to VERSION OF > Accounting Vouchers > F8: Sales UNREGISTEREDGateway of Tally CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE 2. 3. Select As Invoice . Enter the Reference in the Ref field, if required.

UNREGISTERED the Party’s A/c Name from the ListCONVERTER PRO BY THETA-SOFTWARE 4. Select VERSION OF CHM TO PDF of Ledger Accounts.
5. Select the required VAT/Tax Class from the drop down list.

6. 7. 8. 9.

Select the Name of Item from the List of Items Enter the Quantity and Rate . The amount is automatically displayed in the Amount field. Enter Narration , if required. Accept to save the voucher

Similarly you can create Sales Vouchers for Sales-MRP Based (Composition) and Works ContractComposition Tax @ 0.25%.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Creating a Sales Return Voucher

To create a Sales Voucher, 1. 2. 3. 4. 5. 6. Go to Gateway of Tally > Accounting Vouchers > F8: Sales Select As Voucher . Enter the Reference in the Ref field , if required. Select the Party’s A/c Name from the List of Ledger Accounts . Select Return of Taxable Goods in the Used for field Select the required VAT/Tax Class from the drop down list.

6.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

6. 7. 8. 9.

Select the Name of Item from the List of Items Enter the Quantity and Rate . The amount is automatically displayed in the Amount field. Enter Narration , if required. Accept to save the voucher.

Creating a Journal Voucher

To create a Journal entry using a Voucher Class , 1. 2. Go to Gateway of Tally > Accounting Vouchers > F7: Journal Select the class as VAT Adjustment from the list Class Table.

3.

Select the required flag from the VAT Composition Adjustments list under the field Used For.

Advance Tax Paid
1. 2. Select VAT Adjustment Class as the Voucher Class Select Advance Tax Paid in Used for field

2.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

3.

Debit Composite Tax created under Duties and taxes (Type of duty – Others ) from the List of Ledger Accounts Select the Ledger Advance Tax Paid created under Current Liabilities to be Credited The Amount is automatically entered Enter Narration if required Accept to save the voucher

4. 5. 6. 7.

Interest Payable
1. Select the Voucher Type as VAT Adjustment Class from the Voucher Class list.

1.

2. 3. 4. 5. 6. 7.

Select Interest Payable Under Section 33 in Used for field Debit Interest created under Indirect Expenses Select the Ledger Interest Payable created under Current Liabilities to be Credited. The Amount is automatically entered Enter Narration if required Accept to save the voucher.

TDS Adjustment
1. 2. 3. Select VAT Adjustment Class as the Voucher Class

1. 2. 3. Select TDS Adjustment in Used for field Debit Total Tax Payable created under Duties and Taxes (Type of duty – Others ) from the List of Ledger Accounts Select the Ledger Tax Deducted at Source created under Current Liabilities to be Credited The Amount is automatically entered Enter Narration if required Accept to save the voucher

4. 5. 6. 7.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Purchase Tax Adjustments
1. 2. Select VAT Adjustment Class as the Voucher Class

1. 2. Select Purchase Tax Adjustment in Used for field

3. 4. 5. 6. 7.

Debit Purchase Tax Expenses created under Direct Expenses Select the Ledger Purchases Tax Payable created under Duties and Taxes to be Credited The Amount is automatically entered Enter Narration if required Accept to save the voucher

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

VAT Returns Reports

To view the VAT Composition Reports, Go to Gateway of Tally > Display > Statutory Reports

VAT Returns Computation Reports

Go to Gateway of Tally > Display > Statutory Reports>VAT Composition Reports

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

VAT Composition Reports menu displays the following options.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

VAT Composition Computation The VAT Composition Computation screen displays as shown below.

Assessable Value The Assessable Value is the total value of the transactions made with the respective VAT/Tax Classification. Rate (%) The percentage rate of tax is displayed here. Tax Amount The rate of percentage value of the Assessable Value is the Tax Amount. VAT Composition Forms The VAT Composition Form for Delhi is displayed in the government prescribed format. Use Alt + P or click on Print option to print your report.

Show all VAT Classifications
Enable the option Show all VAT Classifications? to Yes in F12: Configure

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The computation screen displays as shown below.

VAT Composition Form

Go to Gateway of Tally > Display > Statutory Reports > VAT Composition Reports > VAT Composition Forms

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

VAT Composition Forms
The VAT Composition Forms option will display the Report Generation screen as shown below.

The form displays as shown below.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

RETURN FORM-15

The West Bengal Value Added Tax Rules 2005 Section A (General Information) Return Period

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Registration No
The VAT TIN (Composition) as entered in F11: Features > F3: Statutory and Taxation> Tax Information screen is displayed here.

The Return Period is the period specified while giving printing command.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Name and Style of Business
This Field appears as entered in the Company Creation screen is displayed here.

Address of the principal place of Business
The Address of the Dealer as entered in the Company Creation screen is displayed here. Section B: (Statement of Sales)

1. Aggregate of Sales Price [Section 2(41)]
The gross sales turnover (Total Sales less Works Contract) is displayed in this box.

2. Sales Price of goods tax on which has been paid on the maximum retail price at the time of purchase
This Total sales transaction made using the VAT/Tax Class Sales MRP Based (Composition) less Sales Returns is displayed in this column.

3. Sales Return within six months from the date of sale
The Sales Return Transaction made using the VAT Composition Adjustment Return of Taxable Goods is displayed in this column.

4. Turnover of Sales (01-02-03) [Section 2(55)]
The Total of (Box 01 –02- 03) is displayed in this column.

5. Tax Payable under sub section (3) of section 16 @ 0.25 per centum on 04.
The Sales Tax amount paid on Total Sales Turnover at 0.25% is printed in this Box. Section C:

(Works Contract)

6. Contractual transfer price (Total amount received or receivable during the period for execution of works contract.
The Sales Transaction made using the VAT/Tax Class Works Contract –Composition Tax at 0.25% is displayed in this column

7. Number of Tax invoices raised
This field is blank and entered manually.

8. Tax Payable under sub section (4) of section 18 @ 0.25 per centum on 06
The Sales Tax amount paid on Works Contract Composition Tax at 0.25% is printed in this Box. Section D: (Statement of Purchase)

9. Aggregate of Purchase Price [Section 2(35)]
The Total Purchase turnover [Box 10 (a +b)] is displayed in this Box.

10. Break up of Purchase Price (a) Purchases made from registered dealers in West Bengal.
(i) on goods on which tax has been paid on maximum retail price The Purchase Transaction made using the VAT/Tax Class Purchases- MRP Based (Composition) is displayed in this column. (ii) of taxable goods The Purchase Transaction made using the VAT/Tax Class Purchases-Taxable Goods (Composition) is displayed in this column. (iii) of other goods The Purchase Transaction made using the VAT/Tax Class Exempt Purchases is displayed in this column.

(b) Purchases made from registered dealers in West Bengal.
(i) on goods on which tax has been paid on maximum retail price The Purchase Transaction made using the VAT/Tax Class Purchases From URDs- MRP Based (Composition) is displayed in this column (ii) of taxable goods The Purchase Transaction made using the VAT/Tax Class Purchases From URDs -Taxable Goods (Composition) is displayed in this column.

(iii) of other goods The Purchase Transaction made using the VAT/Tax Class Purchases From URDs -Exempt Goods (Composition) is displayed in this column.

Total (i) + (ii)+ (iii)
Total of (i) + (ii)+ (iii) is printed in this Box.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Grand Total (a) + (b)
Total of 10 (a) and 10 (b) is displayed in this Box.

11. Purchases tax payable on 10 (b) (ii) [ Refer to section 17] UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
The entry made using Journal Voucher with the Vat Adjustment Class and Used for as Purchase Tax Adjustment is printed in this Box Below is the sample entry given: Flag: Purchase Tax Adjustment Dr. Purchase tax expenses A/c (under: Direct expenses) Cr. Purchases Tax Payable (under: Duties and Taxes A/c)

12. Output Tax [05+08+11] [Section 2(26)]
The total of (Box 05+08+11) is displayed in this box.

13. Less Tax Deducted at Source (enclose Form 18)
The entry made using Journal Voucher with the Vat Adjustment Class and Used for as TDS Adjustment is printed in this Box Below is the sample entry given: Flag: TDS Adjustment Dr. Total Tax Payable (under: Duties and Taxes) Cr. Tax Deducted at Source (Under: Current Assets)

14. Less Tax Paid (Other than 13)
The entry made using Journal Voucher with the Vat Adjustment Class and Used for as Advance Tax Paid is printed in this Box

Below is the sample entry given: Flag: Advance Tax Paid Dr. Total Output Tax A/c (under: Duties and Taxes) Cr. Advance Tax Paid (under: Current Liabilities)

15. Add: Interest Payable under section 33
The entry made using Journal Voucher with the Vat Adjustment Class and Used for as Interest Payable is printed in this Box Below is the sample entry given: Flag: Interest Payable Dr. Interest (under: Indirect Expenses) Cr. Interest Payable (Under: Current Liabilities)

16. Amount due (12+15-13-14)
The balancing figure is captured in this Box.

24. Payment Details
This field is entered manually

Declaration
This field is entered manually

Introduction

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Service tax is an indirect tax levied on certain category of services provided by a person, firm, agency, etc. The Government of India has marked a set of services as taxable under the service tax structure. The seller provides a service and the responsibility of paying the service tax to the government rests with the seller.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Information on service tax

Currently, the rate of service tax on all the taxable services is 12%. Presently, service tax is applicable on 97 categories of services. A few of the listed services have an abatement facility. Service tax returns are to be filed to the Commissionerate of Service Tax for the fiscal half-year. Information on the registration, rules, list of services, rate of service tax, forms, etc can be found on the official website for service tax-http://www.servicetax.gov.in/

Service Tax Flow

When you buy and sell services?

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

A person/firm providing a service that comes under the service tax category has to pay service tax. Service tax is to be shown separately in the invoice and is payable based on the payment realized and not on the total amount shown in the invoice. Similarly, when you buy a service that falls under service tax category, you avail service tax credit based on the payment made. So, you pay service tax on the services that you sell and get credit on the service tax payable when you buy a service.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Adjusting credit?
While you pay service tax on sale of services that come under the service tax category, you can adjust service tax credit availed on purchase of services (Buyer). This deduction is called adjusting credit against service tax . The difference between the service tax that you have to pay for selling services and the service tax credit on purchases that can be adjusted is the payable service tax . Service tax (sales) that is adjustable against service tax credit (purchases) is also called availing input credit . Let us look at an example.

Adjusting 100% credit & 20% credit

If your input service (Purchase) can be directly related to the output service (Sales) then you can use 100% credit adjustment on the service tax payable. For example: If you are providing a consultancy service over the phone, then you can use the input credit from the telephone charges to adjust against 100% of the service tax payable on your consultancy service. If the input service is not solely used for the output service, then 20% credit adjustment is applicable. Input service tax credit can be adjusted to both output service tax and output cess (surcharge on tax). But input cess credit can be adjusted only towards output cess.

Assessable value
Service tax is calculated on the assessable value. The assessable value is the service charge value minus abatement and expenses.

Abatement
The government has given a deduction on the value to be considered for service tax on a few categories of services. For example, some categories of services include material value. A caterer has to procure materials to prepare food products and sell services. Service tax is charged on the total amount for the service and does not include the rate of the materials procured. Hence a deduction is provided. This deduction from the service charges to be considered for service tax is called abatement . Abatement is either a percentage of the service charges or a lump sum value. Example: a. Charge on Service b. If an abatement of 30% is applied, then abatement c. Here, the assessable value is (a-b) Therefore, service tax @ 12 % on Rs.7, 000/Rs.10, 000/Rs.3, 000/Rs.7, 000/Rs.840/-

Expenses
Expenses can be deducted from the total service charge to get the taxable amount. E.g. A technical consultant might travel to different locations with respect to work. The invoice is prepared as ‘consultancy’ and the travel expenses are included in the total service charges. If supported by records, you can deduct the travel expenses from the total service charge to derive the assessable value on which service tax is applicable.

Payment of Service Tax

How much do I pay?

UNREGISTERED VERSION OF buyer and bills theCONVERTER PRO BY THETA-SOFTWARE tax. The A seller provides a service to a CHM TO PDF buyer for the service. The bill is inclusive of the service
seller does not have to pay service tax on the total bill amount but only on the payment received. Example: Charge on service Service tax @ 12% Cess on Service Tax @ 2% Secondary Cess @ 1% Total bill Rs. 10, 000/Rs. 1, 200/Rs. 24/Rs. 12/Rs. 11, 236/-

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Here, the service-tax calculated turns out to be

Service Tax @ 12% Cess on Service Tax @ 2% Secondary Cess @ 1% Total

Rs. 1, 200/Rs. 24/Rs. 12/Rs. 1, 236/-

Assuming, the buyer pays the seller Rs.5, 000/- as part payment, the service-tax payable for the payment received is calculated as given below. Charge paid on service Service tax on Rs.5000/- is Cess on service tax is Secondary Cess on Service Tax is (10,000 x 5,000)/11,236 (1,200 x 5,000)/11,236 (24 x 5,000)/11,236 (12 x 5,000)/11,236 Rs. 4449.98 Rs. 533.99 Rs. 10.67 Rs. 533

Hence, service tax is payable only on the value of payment received by the seller and not on the gross amount charged or billed (invoice value). Another case is when you receive an advance payment on services to be provided. Service tax is not applicable on advances paid until it is adjusted against the invoice.

Where do I pay?
The service tax amount is to be paid in Form GAR – 7 Challan in a bank designated by the Commissionerate of Service Tax. For a particular area there is a Focal bank, with branch and code. This is the designated bank. Service tax payments will be accepted in all the branches of the bank, which are connected with the focal branch. The list of the banks and their branches accepting service tax payments is available with the Commissionerate of Service Tax. If your company is a corporate company, service tax is payable on a monthly basis by the 5th of the following month. For example, Service tax has to be paid by 5th January for the month of December. Non-corporate like individuals, proprietary firms, partnership firms and so on, have to pay service tax for the fiscal quarter. The payment is to be made by the 5th day of the month following the quarter. For example, service tax for the quarter ending 30th June is to be paid by 5th July. For the corporate and non-corporate bodies, service tax for the month of March is payable by 31st of March.

Filing returns
Corporate and non–corporate organizations have to file service tax half-yearly with details in Form ST-3 and Input Credit Form (Form 5) to the Commissionerate of Service Tax. The filing of returns should be within 5 days from the last day of the fiscal half-year. For the fiscal half-year ending-date of 30th September, the last day for filing service-tax returns is 5th October. Copies of all GAR – 7 issued during the period must be attached.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Service Tax in Tally
Features of Service Tax in Tally

Service tax integrated in Tally takes care of your service tax transactions. It eliminates error-prone information, incorrect remittance, penalties, interests, compliance issues, etc. Service Tax in Tally needs a one-time configuration for service tax features to be activated.

Tally tracks bill-wise (bill-by-bill) detail and automatically calculates service tax payable and input credit with the flexibility to make adjustments later.

Service tax is part of a regular transaction. Information on service tax is maintained and produced categorywise, which is mandatory in service tax returns.

Adjusts input credit towards service tax payable.

Accounts for abatement and expenses.

Provision for exemption notification details.

Built-in assessable value feature on which service tax is calculated.

Transfer earlier pending service tax payable and available service tax input credit in to Tally

Reports are generated as per government suggested format. Print and file reports: G.A.R.-7 Challans, Input Credit Form, ST3 Report and ST3-A Report.

Management Information Services (MIS) reports: Service Tax Payable Report and Input Credit Form

Enabling Service Tax in Tally

To enable Service Tax ,

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Set Enable Service Tax to Yes

Go to Gateway of Tally > F11: Features > Statutory & Taxation

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Set Set/Alter Service Tax Details to Yes to enter the Company Service Tax Details .

Company Service Tax Details
The Company Service Tax Details screen is where you will enter the service tax details. The name of the company is displayed at the top followed by different fields.

Company Service Tax Details
Service Tax Registration No . – Enter the registration number allotted to you by the Service Tax Department. Date of Registration – Enter the date of registration of Service Tax for your service. Assessee Code - Enter the code given to your company by the Service Tax Department . Type of Organization – In this field select the type of your organization from the List of Organisations menu.

Major Service Category Name - Here you will find options for different categories that come under the service tax net. You might be providing two or more services in a company. In such a situation, select the service category that is the mainstay or forms the major part of your business.

Select the relevant option from the List of Service Categories that applies to your company.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Credit Adjustment (%) – By default this field is set to 20. Enter the percentage of credit adjustment that you would like to avail.

Division
Code - Enter the code of the division in which your company falls. Name - Enter name of the division under which your company falls.

Range
Code - Enter the code of the range of your company. Name - Enter the name of the range under which your company falls.

Commissionerate
Code - This is the code of the Commissionerate of Service Tax under which the address of your registered

premise is located. Name - This is the name of the Commissionerate of Service Tax under whose range the address of your registered premise falls.

Focal Bank Details
Focal Bank Code -The Commissionerate of Service Tax allots a code to banks nominated for payment of service tax in a particular area. This code is available with the Commissionerate of Service Tax. Focal Bank Name - This is the name of the bank nominated by the Commissionerate of Service Tax to receive service tax payments in a particular area. This information is available with the Commissionerate of Service Tax . Focal Bank Address- Enter the address of the branch of the focal bank .

Display of Service Categories in Statutory Info.

Tally provides you with predefined set of Service Categories. You can view the values of each of the Service Category. Go to Gateway of Tally > Display > Statutory Info > Service Categories UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Select the service category which you want to view. The Service Category screen has a Name field showing the category. This is followed by the fields Applicable to Country, Code, Accounting Code and Category fields. The Applicable From column displays the period for which the Cess Rate (%) and Secondary Cess Rate are applicable. Note: Any changes to the values will be Abatement (%), Service Tax Rate (%), and

updated

on

the

Tally

website.

Creating Sales Ledgers for Services

Go to Gateway of Tally > Accounts Info > Ledgers > Create 1. Enter VERSION OF CHM TO UNREGISTEREDthe Name of the Sales ledger PDF CONVERTER PRO BY THETA-SOFTWARE 2. 3. Select the Group Sales Accounts in the field Under Set Inventory Values are affected to Yes

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
N o t e : Set the Inventory Values are affected field to Y e s , if service as item. For example: You sell consultancy charged by 4. Set Is Service Tax Applicable to Yes you the are maintaining number of hours.

4.

6.

Select the Category Name from the List of Service Categories .

6.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

7.

Accept the screen to Save .

N o t e : Create a Service Tax ledger for purchase services in two categories and service tax ledgers

each sell

service category. For example, if you services in three categories, create five

Creating Output Service Tax ledger

To create an Output Service Tax ledger: Go to Gateway of Tally > Accounts Info > Ledgers > Create 1. 2. 3. 4. 5. Enter the Name of the ledger Select Duties & Taxes in the field Under Select the Type of Duty from the List of Types of Duty/Tax Select the Category Name from the List of Service Categories Set Inventory Values are affected to No

5.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

6.

Accept the screen to Save

Similarly, you can create ledgers for Input Service Tax

Creating a Customer Ledger

To create a Customer ledger: Go to Gateway of Tally > Accounts Info > Ledgers > Create 1. 2. 3. 4. 5. Enter the Name of the ledger Select the group from the List of Groups Set Maintain Balances Bill by Bill to Yes. Enter the Default Credit Period , if any Set Inventory Values are affected to No Set Is Service Tax Applicable to Yes

5.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

6.

Select the Type of Classification in the Exemption Details screen

6.

N o t e : If Exempt classification is selected, then the Notification number has entered. The number will appear in the ST3 Half Yearly return of exempt 7. Enter the Mailing Details

to be section

7.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

8.

Accept the screen to save

Creating Party Ledgers for Service Tax

Creating Party Ledgers for Service Tax
To create a Party Ledger for Service Tax, Go to Gateway of Tally > Accounts Info > Ledgers > Create 1. 2. 3. 4. 5. 6. Enter the Name of ledger Select the Group from the List of Groups in the field Under Set Maintain Balances Bill by Bill to Yes. Enter the Default Credit Period , if any Set Inventory values are affected to No Set Is Service Tax Applicable to Yes Select the Type of Classification from the List of Classification

6.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

7.

Accept the screen to save

7.

Creating Ledgers for Excise

To create a Ledger for Excise:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
1. 2. Enter the Name of the ledger Select the Group Duties & Taxes from the List of Groups

Go to Gateway of Tally > Accounts Info > Ledgers > Create

3. Select UNREGISTERED the Type of Duty/Tax from Types CONVERTERExcise BY THETA-SOFTWARE VERSION OF CHM TO PDF of Duty/Tax to PRO 4. 5. 6. 7. Select the appropriate Duty Head from the list Set Inventory Values are affected to No. Set the Percentage of Calculation to 16% Select the appropriate Method of Calculation from the list of Type of Duty

7.

7.

Accept the screen to save.

Similarly, you can create ledger for Education Cess – Excise and Secondary Education Cess, by selecting Duty Head as Cess on Duty and the Method of Calculation as Surcharge on Duty

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Creating a Sales Voucher

To create a Sales voucher for Sale of Services , Go to Gateway of Tally > Accounting Vouchers > F8: Sales 1. Select I : Acct. Invoice on the right hand side of the screen.

N o t e : A Sales 2.

Item

Invoice

can

also

be

passed

with

Inventory

allocations.

Enter the reference number in the Ref field if required.

N o t e : Set Use 3. 4. 5. 6.

Common

Ledger

A/c

for

Item

Allocation to No in the F12:

Configure

Select the Party’s A/c Name from the List of Ledger Accounts Select the Service ledger from the List of Ledger Accounts Enter the Amount Select the Service Tax ledgers from the List of Ledger Accounts for the Service Tax Details sub form to appear.

6.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

7.

You can allocate the Expenses amount if any, in above screen, else leave the field blank and tab down to accept the above screen.

In the above example, Rs. 5000 is allocated to Expenses . 8. Tab down through the Voucher entry screen for the Bill Wise Details sub form to appear.

8.

9. 10.

Select New Ref from Method of Adj. and accept the Bill-wise Details sub screen. Enter Narration if any in the Voucher entry screen.

10.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

12.

Accept the screen to save .

Creating a Receipt Voucher

Creating Receipt Voucher
Tally calculates the Service Tax liability on the payment received . If a part payment of Rs.50, 000 is received for the above Sales made, then Tally calculates the Service Tax liability for Rs. 50, 000 . To create a Receipt voucher, Go to Gateway of Tally > Accounting Vouchers > F6: Receipt 1. 2. Select the customer ledger from the List of Ledger Accounts The Bill Wise Details sub form appears as shown

2.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

3. 4. 5. 6. 7.

Select the Type of Ref from the list of Method of Adj . Select the Sales Voucher from the List of Pending Bills Enter the amount received and Accept the Bill-wise details sub screen Debit the Bank account Enter Narration, if any

7.

8.

Accept the screen to Save .

Creating a Sales Voucher for Services Exempt from Service Tax

To create sales vouchers for Services exempted from Service Tax ,

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Detail sub form.

Create a Customer ledger and select the Type of Classification as Exempt in the Exemption Notification

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Go to Gateway of Tally > Accounting Vouchers > F8: Sales ( as Account Invoice ) 1. 2. 3. 4. Enter the reference number in the Ref field if required. Select the Party’s A/c Name from the List of Ledger Accounts . Select the Service Ledger from the List of Ledger Account s.

3. 4. Enter the Amount

5. 6. 7.

Select New Ref for Type of Ref in the Bill-wise Details sub form Select Service Tax ledger as Not Applicable Accept the Bill Wise Details sub screen to accept and save the voucher

7.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

On receipt of the payment for the sale of the above service, the value is displayed in ST3 report.

Section 4(A) row 4 of the

Similarly, you can pass entries for an Export customer. The entry value will be displayed in Section 4(A) row 5 of the ST3 report.

Service Tax Payable Report

Go to Gateway of Tally > Display > Statutory Reports > Service Tax Reports > Service Tax Payables The screen display the details of the Service Tax Payable

Date - The date of the sales invoice is displayed. Ref No. - The reference number given to the sales invoice. Partys' Name – The name of the customer to whom the sale is made. Category Name – Name of the category of service is displayed.

Bill Value:

This column displays the total invoice amount . Assessable Value – The assessable value for the service. Service Tax - The total service tax calculated on the assessable value . Cess - The sum of Education Cess and Secondary Education Cess (Applicable from 1-4-2007 ) calculated on Service Tax.

Realised Value: UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
This column displays the amount received on the invoice value. Assessable Value – The assessable value based on the realised value . Service Tax Payable - The amount of service tax payable based on the realised value.

UNREGISTERED VERSION OFCess (Education CONVERTER PROEducation Cess) on the Service Cess Payable – The Total CHM TO PDF Cess and Secondary BY THETA-SOFTWARE
Payable based on the realised value. Total Payable – The amount of Service Tax Payable inclusive of Educational Cess and Secondary Education Cess is displayed in this field. This value is calculated on receipt of payment. Use the Alt+P key or click on Print option to print your report.

Tax

Creating a Purchase Voucher

You can create a Purchase voucher to record the purchase of services. Go to Gateway of Tally > Accounting Vouchers > F9: Purchase ( as Account Invoice ) 1. 2. 3. 4. 5. Enter the reference number in the Ref field if any Select the Party’s A/c Name from the List of Ledger Accounts Select the Service Ledger (created under purchase group) from the List of Ledgers Enter the Amount Select the Input Service Tax ledger from the List of Ledger Accounts

The Service Tax Details sub form appears as shown

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

6.

Accept the above screen for the Bill wise details sub form to appear

6.

7. 8.

Select the Type of Ref from the list of Method of Adj. Select the Input Service Tax ledger from the List of Service Tax Ledgers and accept the Bill- wise Details sub form Enter Narration , if any in the Voucher entry screen

9.

9.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

10.

Accept the screen to save

Payment Voucher
Let us now create a Payment voucher for the above purchase. Go to Gateway of Tally > Accounting Vouchers > F5: Payment 1. Select the Party’s A/c Name from the List of Ledger Accounts

The Bill-wise Details sub form for the Party ledger appears as shown

2. 3. 4. 5.

Select the Type of Ref from the list of Method of Adj. Select the Purchase bill from the List of Pending Bills and accept the above screen Select the Bank account to be credited in the Voucher Entry screen Enter Narration , if any

5.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

6.

Accept the screen to save

Input Credit Form

The Input Credit Form report displays the details of Service Tax Input Credit available with the company as on a specified date. The same can be set off against Output service tax liability depending on the method of adjustment you have opted. If the rate of adjustment selected is 100%, then the entire available Input Service Tax can be set off, or if 20% is selected then to the extent of 20% of the Output Service Tax liability can be set off for the current period. The balance can be carried over for the next period. Go to Gateway of Tally > Display > Statutory Reports > Service Tax Reports > Input Credit Form The Input Credit Form appears as shown.

Date - Date of the purchase invoice Ref No - The reference number of the purchase invoice. Partys' Name/Service Tax No. - Name and Service Tax Registration number of the service provider.

Party Address – Address of the service provider Category Name - Name of the category of service purchased. Bill Value: This column displays Assessable value , Service Tax and Cess amount (Education Cess and Secondary Education Cess) as per the invoice Assessable VERSION OF CHM TO PDF for the service purchased. UNREGISTERED Value – The net assessable value CONVERTER PRO BY THETA-SOFTWARE Service Tax - Service tax payable as per the purchase invoice. Cess - Cess (Education Cess + Secondary Education Cess) on the service tax as per the purchase invoice Realised Value:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Assessable Value – The realised assessable value based on the payment made. Service Tax Credit - The realised amount of service tax credit based on the payment made.

This column displays the Assessable value, Service Tax and total Cess (Education Cess and Secondary Education Cess) calculated on the payment made against the invoice value.

Cess Credit – Realised cess (Education Cess and Secondary Education Cess) on the Service Tax credit based on the payment made. Total Credit – Available Service Tax Credit inclusive of Educational Cess and Secondary Educational Cess . Use the Alt+P key or click on Print option to print your report.

Payment of Service Tax

To create a voucher for payment of Service Tax , Go to Gateway of Tally > Accounts Info > F5: Payment 1. 2. Select the Output Service Tax ledger to be debited from the List of Ledger Accounts On selecting the above, the Service Tax Bill Details sub form appears as shown

3. 4.

Select the Type of Ref Select the Sales Bill from the List of Service Tax Bills and accept the Service Tax Bill Details sub form

3. 4.

N o t e : The Service 5. 6. Credit the Bank account

Tax

Payable

is

calculated

on

the

payment

received,

i.e.

50,

000 .

Set Payment Period to Yes and enter the From and To dates.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Note 7. : The period for which the payment is made is specified in the above screen.

Enter Narration, if any.

8.

7.

8.

Accept the screen to save

Note pass 9.

: You can make separate payment

a

payment vouchers

for for

a

single multiple

category in categories

one

payment

voucher.

You

can

Press Alt + P and set Print GAR-7 Challan to Yes

9.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

10.

Use the Print Preview Option (ALT+I) to view the challan on the screen. The challan will print in government prescribed format and can be used to remit service tax.

The print preview of GAR-7 Challan appears as shown

Full Name : The name of the company is printed in this field. Company Address: The address of the company is printed in this field. Telephone No.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
The telephone number of the company is printed in this field. Assessee Code No. The Assessee Code No. entered as in F11: Features is printed in this field. Commissionerate Name UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE The Commissionerate Name as entered in F11: Features is printed in this field. Commissionerate Code, Division Code, Range Code The details entered in F11: Features are printed in this field Accounting Code of the Service and Amount Tendered in Rupees The Accounting Code of the service and amount charged is displayed in this field. The first row displays the code and the amount for Service Tax The second row displays the code and the amount for Cess The third row displays the code and the amount for Secondary Education Cess The fourth row displays the code and the amount for Interest The fifth row displays the code and the amount for Penalty The sixth row displays the code and the amount for Other Expenses Total The total of all the services provided is printed in this field. (In Words) Rupees The total amount is printed in words. Cash/ Cheque/Draft/Pay Order No. The Cash/ Cheque/Draft/Pay Order No. is entered manually in this field Dated The payment date is entered in this field. Drawn On The name of the bank is entered manually in this field. Signature of the Tenderer with date The Tax Payer signs in the above field.

Tax Payer’s Counterfoil This section prints the same details as mentioned above and would be issued to the Tax Payer.

Credit Adjustment using Excise Duty

You can adjust your Service Tax payment using Excise Credit .

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Go to Gateway of Tally > Accounting Vouchers > Payment (F5 ) 1. Select the Output Service Tax ledger from the List of Ledger Accounts for the Service Tax Bill details to appear.

To create a Service Tax payment entry adjusting the Excise credit ,

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

2. 3. 4.

Select Agst Ref in the Type of Ref column Select the bill from the List of Service Tax Bills

2. 3. 4. 5. 6. 7. 8. 9. 10. Enter the amount being paid Enter the rate of Credit Adjustment Credit the Excise Ledgers and specify the amount Credit difference amount to the Bank A/c Set the field Payment Period to Yes Specify the Service Tax Period Enter Narration if any

11. 12.

Accept the Voucher to Save.

11. 12. 13. Press Alt + P and set Print GAR-7 Challan to Yes Press Alt + I to view the preview as shown

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The Excise Duty value of the above entry is displayed in Section 5(A) row 7 in ST3 report . The Education Cess and Secondary Education Cess for the above entry is displayed in Section 5(B) row 4 in the ST3 report .

Creating a Purchase Voucher using Excise Duty

The Excise Duty Input Credit can be availed on accrual and not on realization. You can create purchase entries using the Excise Duty ledgers.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Go to Gateway of Tally > Accounting Vouchers > F9: Purchase in the Item Invoice Mode
1. 2. 3. 4. 5. Enter the Supplier Invoice No. and Date Select the Party’s A/c Name from the List of Ledger Accounts Select the Item from the List of Stock Items Enter the Quantity . Enter the Rate .

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The Accounting Details sub form for the Stock Item appears as shown.

6. 7.

Select the Purchase ledger from the List of Ledger Accounts Select the VAT/Tax Class , if not assigned during ledger creation.

Note: Tally enabled. 8. 9. 10. 11. 12. 13.

provides

you

with

Excise

Classification even if the E x c i s e

feature

is

not

Accept the Accounting Details screen. Select the Excise ledgers from the List of Ledger Accounts Select the Input Vat ledger , created under Duties & Taxes from the List of Ledger Accounts Select the VAT/Tax Class, if it is not assigned during ledger creation Tab down for the Bill Wise Details screen to appear

11. 12. 13. 14. Select New Ref as Type of Ref . Select Service Tax ledger as Not Applicable

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

15. 16.

Accept the above screen for the Voucher Entry screen to re appear. Enter Narration if any.

16.

17.

Accept the screen to Save.

Creating Vouchers for Arrears

To create vouchers for Arrears ,

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
1. 2. Select Arrears created under Indirect Expenses from the List of Ledgers . Select the payment type Arrears , from the List of Payment .

Go to Gateway of Tally > Accounting Vouchers > Payment (F5)

UNREGISTERED VERSION OF CHM TO PDF CONVERTERhPROand PTHETA-SOFTWARE the BY e n a l t y by selecting N o t e : You can create vouchers for I n t e r e s t , O t e r s
appropriate 3. options Enter the Debit amount

3.

3.

3.

Enter the rate of credit adjustment .

Note : Payment 4. 5.

The option to Type only.

enter

the

rate

of

Credit

Adjustment

is

available

in

an

Arrears

Credit the Bank account. Accept the voucher to save.

5.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

N o t e :- The Arrears of Service Tax and Education Cess Service Tax or Input Credit on E x c i s e , if available. The Journal Voucher. However, adjustment of Input Service Tax I n t e r e s t , P e n a l t y and M i s c e l l a n e o u s payments.

can be set off against I n p u t entry can be passed using is not allowed in case of

The value of the above entry is displayed in Section 2(B) row 1 of the ST3 report. Similarly, Payment entry for Penalty and Interest can be passed. A Payment entry for Penalty, for Rs. 1500 will be displayed in Section 2(B) row 4 of the ST3 report. A Payment entry for Interest, for Rs. 2000 will be displayed in Section 2(B) row 3 of the ST3 report

Transferring Earlier Service Tax Entries into Tally

You can transfer your pending Service Tax payable and available Service Tax Input Credit into Tally. Let us consider that the Input Service Tax has a debit opening balance of 618.00 and the Output Service Tax has a credit opening balance of 1236.00 for the previous year. To transfer the above Service Tax Payables and Input service tax to the current year, a new ledger should be created with Service Tax enabled , as mentioned below. Go to Gateway of Tally > Accounts Info > Ledgers > Create 1. 2. 3. 4. 5. Enter the Name of the service Tax Ledger Select the Group Duties & Taxes from the List of Groups in the field Under Select the Type of Duty as Service Tax from the Types of Duty/Tax Select the Category Name from the List of Service Categories . Set Inventory values are affected to No

5.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Similarly, you can create ledger for Output Service Tax .

Now, create the customer and party ledgers by setting Maintain Balances bill-by-bill to Yes and enter the opening balance. Assume that balance carried forward from previous year, for a supplier is Rs. 5,618 and for a customer is Rs. 11, 236 . The ledger creation screen appears as shown.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Let us now create a Journal Voucher to transfer Input service Tax . Go to Gateway of Tally > Accounting Vouchers > Journal (F7) 1. Debit the Input Service Tax ledger created for the current year selecting from the List of Ledger Accounts .

The Service Tax Bill Details for the Input Service Tax ledger appears as follows.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

2. 3.

Select the Type of Ref from Method of Adj . Enter the Amount .

Service Tax Opening Bill Details appears as follows

4.

Select the Party Ledger from the list of Service Party Ledgers. (The balance carried forward from the previous year can be entered in the field Opening Balance) Select the corresponding bill from the List of Pending Bills Enter the rate of Abatement if any Enter the Expense if any Enter the Assessable Value Enter the rate of Service Tax Enter the rate of Education Cess and Secondary Education Cess . Accept the Service Tax Opening Bill Details screen. Credit the Service Tax Input ledger created under Duties & Taxes for previous year.

5. 6. 7. 8. 9. 10.

11.

11.

This journal will nullify the Input Service Tax Ledger of the previous year and transfer the pending service tax bill and the relevant tax information to the current Service Tax ledger. N o t e : The Input and Output Service Tax ledger for the previous year is created without the Service Tax feature enabled and setting the opening balances. The Service Tax liability and the Input Service Tax should be entered separately for each bill. 12. Enter Narration if any.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

13.

Accept the screen to Save the Voucher.

The Journal Entry for the Output Service Tax is created as follows: Go to Gateway of Tally > Accounting Vouchers > Journal (F7) 1. 2. Debit the Output Service Tax ledger created for the previous year.

1. 2. 3. Enter the Amount in the field Debit. Credit the Output Service Tax ledger created for the current year

The Service Tax Bill Details for the Service Tax ledger appears as shown.

4. 5.

Enter the Amount . Accept the above screen for the Service Tax Opening Bill Details to appear.

5.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

6. 7. 8. 9. 10. 11. 12. 13. 14. 15.

Select the Customer ledger from the list of Service Party Ledgers. Select the appropriate bill from the List of Pending Bills Enter the rate of Abatement if any. Enter the Expense if any. Enter the Assessable Value Enter the rate of Service Tax Enter the rate of Education Cess and Secondary Education Cess . Accept the above screen. Credit the Output Service Tax ledger created for the current year

13. 14. 15. Enter Narration if any.

16.

Accept to Save the Voucher.

Accounting of Advance Receipt from Customer
Go to Gateway of Tally > Accounting Vouchers > Receipt (F6) 1. 2. 3. 4. Select the Bank Account to be debited Select the ledger to be credited from the List of Ledger Accounts Select the customer ledger from the List of Ledger Accounts.

3. 4. Enter the amount .

The Bill Wise Details screen appears:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

5. 6. 7. 8. 9.

Select Advance as Type of Ref. Enter the Name , if required. Select the Service Tax ledger from the List of Service Tax Ledgers Accept the Bill Wise Details screen. Enter Narration if any.

9.

6.

Accept to Save the Voucher.

Creating a Memorandum Voucher

A Memorandum Voucher has to be created to capture the opening balance on the Service ledger.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Go to Gateway of Tally > Accounting Vouchers > Memorandum Voucher (Ctrl + F10) 1. 2. 3. 4. Select the Service ledger, e.g. Advertising Consultancy from the List of Ledger Accounts Enter the Amount .

To create a Memo Voucher,

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Select the Service Ledger from the List of Ledger Accounts . Accept the screen to save .

4.

N o t e : The above functionality.

entry

will

reflect

in

the

ST

3

report

and

does

not

affect

any

Service Tax Reports

Go to Gateway of Tally > Display > Statutory Reports > Service Tax Reports

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

More:

Service Tax Payables

Input Credit Form

ST3 Report

ST 3A Report

ST3 Report

The ST3 Report is a statutory report. This report displays the ST3 Form in the government prescribed format that is used to file Half – Yearly Service Tax returns to the Commissionerate of Service Tax . Go to Gateway of Tally > Display > Statutory Reports > Service Tax Reports > ST3 Report 1. Use the Alt+P key or click on Print option to print your report.

This will display the Form ST-3 screen.

This is how the printed document will look:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

For the period April – September October – March

The above boxes will be checked according to the ST-3 Period specified. 1. Name and Address of the Assessee

The Name and Address of the company is displayed in this field. 2. Registration Numbers of Premises for which return is being filed

The Service Tax Registration number is displayed in this field. 3. Category of Taxable Services for which return is being filed

This field displays the list of Taxable Services provided by the company. 4. Payment of Service Tax Category of Service

A. Payment details
This section displays the Service Tax payment details for all the months in the specified period. It also provides you with a total of Service Tax for all the months. This section displays a monthly breakup of Service Tax payment details for the specified period. It also prints the

total of payment details for all the months. Amount received towards taxable service(s) provided - The total payment received from the customer, towards the taxable service provided is displayed in this field. Amount received in advance towards taxable service(s) to be provided - The advance received towards the Taxable Service is displayed in this field. Amount billed – Gross - The Total sales amount for the Service Category for the month is displayed in this field. Amount billed for exempted services other than export - The Total sales amount on an Exempted Service Category other than Export is displayed in this field. Amount billed for exported services, without payment of tax - The total sales amount on an Exported service category is displayed in this field. Amount billed for Services on which tax is to be paid - The total sales amount of the Taxable service is displayed in this field. Abatement Claimed – Value - The total amount claimed as abatement on the service provided is displayed in this field. Notification Number of Abatement - The notification number of abatement is displayed in this field. This number is provided by the Service Tax department. Notification number of Exemption - The notification number of the type of exemption selected in the ledger master is displayed in this field. (The type of exemption can be Export/Exempt) Provisional Assessment order no. - This field is to be entered manually. Service Tax payable - The total Service Tax payable for the service category is displayed in this field. Education Cess payable - The total amount of Education Cess and Secondary Education Cess payable for the service category is displayed in this field. Service Tax paid in cash - The service tax paid in cash is displayed in this field. Challan Number - The Challan number is entered manually in this field. Challan date - The Challan date is entered manually in this field. Service tax paid through Cenvat Credit - The Service Tax paid using the Service Tax Input Credit or Excise Input Credit is displayed in this field. Education Cess paid in cash - The total amount of Education Cess and Secondary Education Cess paid in cash is displayed in this field. Education Cess paid through Education Cess credit - The total amount of Education Cess and Secondary Education Cess paid through the Service Tax Input credit or Education Cess Input Credit is displayed in this field.

B. Details of Other payments

This section displays other payments made towards Service Tax. Column (1) Arrears of Service Tax - The arrears of Service Tax paid is displayed in this field. Education Cess - The sum of Education Cess and Secondary Education Cess paid is displayed in this field

UNREGISTERED VERSION OFpaid is displayed in CONVERTER PRO BY THETA-SOFTWARE Interest - The Interest CHM TO PDF this field.
Penalty - The Penalty paid is displayed in this field. Miscellaneous - Any miscellaneous paid are displayed in this field.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Excess amount paid and adjusted subsequently - This field is manually entered. Any extra amount paid that is adjusted with the payment is displayed in this field.

Column (2) 1. Amount Cash - The payables specified in Column (1) are displayed in this field.

Column (3) 1. Challan Number - The Challan number is manually entered in this field.

Column (4) 1. Date - The date of the Challan is manually entered in this field.

Column (5) 1. Amount – Credit - The Payment of arrear using the Input ST credit or Excise credit amount is displayed in this field.

Column (6) 1. Source Document No. - Payment of arrears using the Input cess is entered manually in this field.

5.

Credit Details for Service Tax provider recipient

This section displays the monthly details of the Cenvat Credit passed on Service Tax . A. Cenvat Credit Details (1) Details of Credit Opening Balance - The debit opening Balance of the duty ledger is displayed in this field. The value is updated with the entries passed.

Credit Availed on Inputs - The Input credit availed on passing a default purchase entry with Excise duty (Excise ledger created under Duties & Taxes). Credit Availed on Capital Goods - The Input credit availed on selecting the VAT Classification in a default Purchase entry is displayed in this field and selecting the Excise classification as Purchase on Capital Goods. Credit availed on Input Service - The credit availed on Service Tax Purchases is displayed in this field. Credit received from Inputs service distributor - This table remains blank. Total credit availed - The total credit availed on the service is displayed in this field. Credit utilized towards payment of service tax - The amount used to adjust Service Tax credit is displayed in this field. Excise duty Input or Service Tax Input utilized for payment of Service Tax Closing Balance - The difference of the Total Credit Availed and the Credit utilized towards payment of Service Tax is displayed in this field.

B. Education Cess credit details This section displays the monthly break up of the credit availed on Education Cess. Opening Balance - The ledger debit opening balance of Education Cess is displayed in this field. Credit of Education Cess availed on goods - The total credit availed on Education Cess and secondary Education Cess on goods with capital goods and without capital goods is displayed in this field.. Credit of Education Cess availed on services - The total credit availed using Education Cess and secondary Education Cess on a realised Service Tax purchase is displayed in this field. Credit of Education Cess utilized for payment of Service Tax - The total credit used to adjust the Service Tax payment is displayed in this field. The total Service Tax Cess or Education Cess and Secondary Education Cess is displayed in this field. Closing Balance - The difference of the Total Credit Availed and the Credit utilised towards payment of Service Tax is displayed in this field.

6.

Credit Details for Input service distributor

(A) Details of Cenvat credit received and distributed (B) Details of Education Cess received and distributed (C) The taxable services on which input service credit has been distributed during the half year period This field remains blank as is not currently supported. 7. Details of amount payable but not paid as on the last day of the period for which the return is filed. - The details of the Service Tax due are manually entered in this field. Self Assessment Memorandum - The name and place of the company and the signature of the concerned

8.

7.

8. authority has to be filled manually.

Acknowledgement The details are to be filled by the Service Tax department .

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

ST 3A Report

The ST 3A report is similar to ST 3 report and is a provisional Assessment report only.

Introduction

Central Sales Tax (CST) is a tax on sales of goods levied by the Central Government of India. CST is applicable only in the case of inter-state sales and not on sales made within the state or import/export of sales. Inter-state sale is when a OF CHM TO PDF CONVERTER goods from one state to another. Accordingly, UNREGISTERED VERSION sale or purchase constitutes movement ofPRO BY THETA-SOFTWARE consignments to agents or transfers of goods to branch or other offices is not a sale as per the CST Act CST is payable in the state where the goods are sold and movement commences. The tax collected is retained by the state in which the tax is collected. CST is administered by Sales Tax authorities of each state. Thus, the State Government Sales Tax officer who assesses and collects local (state) sales tax also assesses and collects CST.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Inter-state Sale

An inter-state sale takes place when a sale or purchase: Leads to movement of goods from one State to another State. Is achieved by the transfer of documents of title while the goods are being moved from one State to another State.

Example 1: “A” in Andhra Pradesh sells and delivers goods to “B” in Karnataka. Example 2: “A” in Maharashtra delivers goods to “B” in Gujarat. “B” sells it to “C” in Gujrat by transferring the document of title during the goods movement from Maharashtra to Gujrat. N o t e : Goods state is not that are sold within considered inter-state a state, sales. but while transporting travel through another

Subsequent Sales

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Subsequent sale is a Sale of goods after the first time it has been sold through transfer of documents of title. Under the CST Act, sales tax is levied at a single point only (first sale) and no sales tax is payable on subsequent sales.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

CST Transaction Forms

Dealers have to issue certain declarations in prescribed forms to buyers/sellers. The type of forms are C, D, E1, E2, F, H and I. Forms C, E1, E2, F and H are printed and supplied by Sales Tax authorities. Dealers have to issue declarations in these forms printed and supplied by the Sales Tax authorities. Form D is to be issued by government organization departments making purchases. These forms are to be prepared in triplicate.

Form C
The sales tax on inter-state sale is 4% or the applicable sales tax rate for sale within the State whichever is lower if the sale is to a dealer registered under CST and the goods are covered in the registration certificate of the purchasing dealer. The purchasing dealer is eligible to get these goods at concessional rate if a declaration in C form is submitted to the selling dealer.

Form D
Sale to government is taxable @ 4% or applicable sales tax rate for sale within the State whichever is lower. This concession on CST is applicable if Form D is issued by the government department which purchases the goods.

Form E1
This form is issued by the dealer who makes the first inter-state sale during movement of goods from one State to another. This enables the purchaser to claim exemption from CST on the second inter-state sale during the movement of goods by transfer of documents of title.

Form E2
This form is issued by the second or the subsequent seller when the goods move from one state to another in a series of inter-state sales by transfer of documents of title. This form enables the purchaser to claim exemption form CST on subsequent sale of goods.

Form F
This form is issued when goods are despatched to another state as a consignment or to the branch of a dealer in another State. The CST is not payable if there is only inter-state stock transfer and there is no sale. To claim interstate movement of goods as “not a sale”, the dealer has to produce a declaration in Form ‘F’ received from Consignment Agent or Branch Office in another State. One Form F covering receipts during one calendar month has to be issued.

Form H
This form is issued by an exporter for purchase of goods. The purchase of goods is for an export order or in pursuance of an export order. These goods are then sold in export and the form enables seller of the goods to the exporter to claim deduction on the goods sold for export.

Form I
This form is issued by a dealer located in a Special Economic Zone (SEZ). No CST is levied when sales is made to a dealer located in SEZ.

Rate of CST

In an inter-state sale to a registered dealer against form C the rate of CST is 4% or local sales tax rate whichever is lower.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
If under the local sales tax law, sale or purchase is exempt from CST the CST is Nil. In an inter-state sale to government against form D the rate of CST is 4% or local sales tax rate whichever is lower. Rate of CST in case of inter-state PDF declared goods PRO form C or D is twice the rate UNREGISTERED VERSION OF CHM TO sale ofCONVERTERwithout BY THETA-SOFTWARE applicable to the local sale or purchase of such goods in that state. Rate of CST in case of other goods ( i.e. non-declared goods) is 10% or the applicable local sales tax of that state, which ever is higher. of tax

Filing of CST Returns

CST amount shall be paid and returns to be filed on a monthly/Quarterly basis and as the case may be. Due date for submitting the return is on or before 15th of the succeeding month or due date for submitting the local sales tax or VAT return of a particular state whichever is later. CST Returns shall be submitted to local Commercial Tax Officer.

CST Features in Tally

State specific CST Returns

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Tracking of forms:
C forms - (Issuable/Issued/Receivable/Received) E1, E2 Forms – Issued against sale of goods in transit by the buyer

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
F forms - For Consignment sales and Branch Transfer H Forms – for sale in course of exports D Forms - For sale to Govt. Organisations I Forms - For sale to SEZ customers Reminder Letters/Covering letters to customers Auto-Fill option.

Enabling CST in Tally

To enable CST feature in Tally : Go to Gateway of Tally> F11: Features > Statutory & Taxation In the Company Operations Alteration screen set Enable Value Added Tax and Set/Alter VAT details to Yes and save.

Note:

CST

feature

is

enabled

only

if

Enable

Value

Added

Tax is set to Y e s .

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Configuring Invoice for CST

To activate the E1 and E2 form in transactions: Go to Gateway of Tally > F12: Configuration > Invoice/Orders Entry . In the Invoice Configuration screen set Activate ‘E1’ or ‘E2’ Transaction? to Yes. Accept to save.

Creating CST Party Ledgers

Creating Party Ledgers for Sundry Creditors

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
To create party ledgers for Sundry Creditors: Go to Gateway of Tally > Accounts Info > Ledgers > Create In the Ledger Creation screen enter the name of the company supplying goods to you in the Name field.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
In the Under field, select Sundry Creditors option from the List of Groups . If required set Maintain balances bill-by-bill? to Yes . Enter details in the Default Credit Period if applicable. By default the Inventory Values are affected? field is set to No . Enter in the Tin/Sales Tax No. field. Accept Yes to save.

Creating Party Ledgers for Sundry Debtors
To create party ledgers for Sundry Debtors: Go to Gateway of Tally > Accounts Info > Ledgers > Create . In the Ledger Creation screen enter the name of the company receiving goods from you in the Name field. In the Under field, select Sundry Debtors option from the List of Groups . If required set Maintain balances bill-by-bill? to Yes . Enter details in the Default Credit Period if applicable. By default the Inventory Values are affected? field is set to No . Enter in the Tin/Sales Tax No. field.

Accept Yes to save.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Creating Sales and Purchases Ledger

Creating Sales Ledgers
To create ledgers under Sales Accounts group: Go to Gateway of Tally > Accounts Info > Ledgers > Create . Enter a name for the sales account ledger in the Name field. In the Under field select Sales Accounts from the List of Groups . Set Yes in Used in VAT Returns? . Select Not Applicable from VAT/Tax Class list . Set the Inventory Values are affected? to Yes if you are maintaining inventory. Accept Yes to Save.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Creating Purchase Ledgers
To create purchase ledgers under Purchase Accounts group: Go to Gateway of Tally > Accounts Info > Ledgers > Create . Enter a name for the purchase account ledger in the Name field In the Under field select Purchase Accounts from the List of Groups Set Yes in Used in VAT Returns? Select Not Applicable from VAT/Tax Class list Set the Inventory Values are affected? to Yes if you are maintaining inventory Accept Yes to Save

Creating CST Ledger for Sales

To create a CST Ledger under Duties and Taxes for CST on Sales: Go to VERSION OF > Accounts Info > Ledgers > Create . UNREGISTEREDGateway of Tally CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE In the Ledger Creation screen enter the name of the CST ledger in the Name field. In the Under field select the Duties & Taxes from List of Groups .

UNREGISTERED CST from Types of Duty/Tax menu in the Type of Duty/Tax field. Select VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Select Not Applicable from VAT/Tax Class menu in the VAT/Tax Class field. Enter the CST percentage applicable in Percentage of Calculation? Select the Method of Calculation from Type of Duty menu. Accept Yes to Save.

Creating CST Paid on Purchases Ledger

To create CST paid on purchases ledger under Purchase Accounts group. This ledger is created under Purchase Accounts to include/appropriate CST value to purchase.

UNREGISTERED VERSION> Accounts TO PDF CONVERTER PRO BY THETA-SOFTWARE Go to Gateway of Tally OF CHM Info > Ledgers > Create
Enter a name for the Purchase account ledger in the Name field Select Purchase Accounts from the List of Groups menu in the Under field

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Press Ctrl + Enter to go to the Group Alteration screen Set Yes in Used for Calculation (eg. Taxes, Discounts)? Accept Yes to Save

In the Ledger Creation screen, Enter the name of the ledger and select the expense group from the list. Set the Inventory Values are affected? to Yes if you are maintaining inventory. In Percentage of Calculation? enter the CST percentage applicable. Select the Method of Calculation from Type of Duty menu. Set Used in VAT Returns? to Yes. Select Not Applicable from VAT/Tax Class list. Accept Yes to Save.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Creating a Purchase Voucher

Go to Gateway of Tally > Accounting Vouchers > F9: Purchase Select As Invoice .

Note:

Purchase

Voucher

can

also

be

entered

in

As

Voucher mode.

Enter the date and reference. Select the Party to be credited from the List of Ledger Accounts in Party’s A/c name. In the Party Details screen, check/modify details. Select the Purchase Ledger from the List of Ledger Accounts . Select Inter-State Purchases from VAT/Tax Class . Select an item from the List of Items .

Note:

To

create

an

Item,

refer

to

topic

Stock

Items .

Enter the Quantity and the Rate to get the amount in the Amount field. Select the CST paid on purchases ledger under purchase accounts. Select the form to issue from Form Types . Enter the form number and date in Form No and Date respectively. Leave it blank if not yet issued. Select the form to receive from E Form Types . Enter the form number and date in Form No and Date respectively. Leave it blank if not yet received.

N o t e : E Form Types are displayed only if: 1. Activate ‘E1’ or ‘E2’ Transaction? is set to Y e s from F12: 2. C F o r m is selected from Form Types. Enter narration if required and accept Yes to save.

Configure .

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Creating a Sales Voucher

Go to Gateway of Tally > Accounting Vouchers > F8: Sales . Select As Invoice .

Enter the date and reference. Select the Party to be credited from the List of Ledger Accounts and enter Party’s A/c name. In the Party Details screen, check/ modify details. Select the Sales Ledger from the List of Ledger Accounts . Select Inter-State Sales from VAT/Tax Class . Select an item from the List of Items .

Note:

To

create

an

Item,

refer

to

the

topic,

Stock

Items .

Enter the Quantity and the Rate to get the amount in the Amount field. Select the CST Tax ledger (under Duties & Taxes) for sales. Select the form to receive from Form Types . Enter the form number and date in Form No. and Date , respectively. Leave it blank if not yet received. Select the form to issue from E Form Types . Enter the form number and date in Form No. and Date , respectively. Leave it blank if not yet issued.

N o t e : E Form Types are displayed only if: 1. Activate ‘E1’ or ‘E2’ Transaction? is set to Y e s from F12: 2. C F o r m is selected from Form Types. Enter narration if required and Accept to save.

Configure .

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Note: D Form F Form H Form I Form

Form is for registered customers. is for Government Organisations. is for Branch transfers. is for deemed exports. is for SEZ Customers.

C

Creating Debit and Credit Notes

You can create Debit and Credit Notes for changes in Quantity, Rate, Return of Goods, and so on. Debit/Credit note is enabled in F11:Features in the Gateway of Tally. To Create a Debit/Credit Note: Go to Gateway of Tally > Accounting Vouchers . In the Accounting Voucher Creation screen, select F9:Debit Note/ F8: Credit Note to create a debit/ credit note. Select As Invoice .

Note:

Debit/

Credit

Note

can

also

be

entered

in

As

Voucher mode.

Enter the date and reference. Select the Party to be credited from the List of Ledger Accounts and enter Party’s A/c name . In the Party Details screen, check/ modify details. Select the Sales/ Purchase Ledger from the List of Ledger Accounts . Select Inter-State Sales/Inter-State Purchases from VAT/Tax Class . Select an item from the List of Items .

Note:

To

create

an

Item,

refer

to

the

topic,

Stock

Items .

Enter the Quantity and the Rate to get the amount in the Amount field. Select the CST tax ledger under Duties & Taxes for credit note, and CST paid on purchases ledger under Purchase Accounts for debit note. Select the form to receive from Form Types . Enter the form number and date in Form No. and Date , respectively. Leave it blank if not yet received. Select the form to issue from E Form Types . Enter the form number and date in Form No. and Date , respectively. Leave it blank if not yet issued.

N o t e : E Form Types are displayed only if: 1. Activate ‘E1’ or ‘E2’ Transaction? is set to Y e s from F12: 2. C F o r m is selected from Form Types.

Configure .

Enter narration if required and Accept to save.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

CST Reports

CST Reports display forms to be received and issued. It allows you track pending forms and reconcile forms.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Go to Gateway of Tally > Display > Statutory Reports > CST Reports

To view CST Reports:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Forms Receivable Forms Issuable

Forms Receivable

This displays the CST forms receivable for the statutory reports from the CST Party Ledgers. Go to Gateway of Tally > Display > Statutory Reports > CST Reports > Form Receivable Select from CST Party Ledgers/Groups Forms to be received for the selected ledger are displayed in the Forms Receivable screen Enter in the Form Number and Date for forms received Accept to save

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Forms Issuable

This displays the CST forms issuable for the statutory reports from the CST Party Ledgers. Go to Gateway of Tally > Display > Statutory Reports > CST Reports > Form Issuable. Select from CST Party Ledgers/Groups. Forms to be issued for the selected ledger are displayed in the Forms Issuable screen. Enter in the Form Number and Date for forms received. Accept to save.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Auto Fill option for CST

The Auto Fill option for CST is available in the Form Issuable/ Form Receivable screen. Use this option to filter the type of forms and to fill up the form number for a group of vouchers. Go to Gateway of Tally > Display > Statutory Reports > CST Reports > Form Receivable/ Form Issuable . Press F5: Auto Fill – CST . In the Set Form Numbers screen. Select the form from Form Types .

Enter the Form Number and Form Date for the group of vouchers. Accept to save.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

In the Forms Receivable/ Forms Issuable screen, Accept to save.

Appropriation in Vouchers

Form numbers and date entered in Forms Receivable/ Forms Issuable are recorded and displayed in the Vouchers. To view this:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Go to Gateway of Tally > Display > Daybook . Press Alt + F2 to change the period. Select the voucher and enter to go to the Accounting Voucher Alteration screen.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
The entries are displayed in Form No: and Date: fields.

Viewing All Vouchers

Go to Gateway of Tally > Display > Statutory Reports > CST Reports > Form Receivable/ Form Issuable . Select the party’s ledger from List of Ledgers . Press Alt + F2 to change the period. In the Forms Receivable/ Forms Issuable , screen press F12: Configure . In the CST Configure screen, set Show All Vouchers? to Yes . Show Vouchers of: displays Form Types . Select the type. To view all types, select Not Applicable .

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Reminder and Covering Letters

You can send reminder letters to parties who have to issue forms. You can also send covering letters to parties, confirming receipt of forms.

Configuring Reminder and Covering letters
To configure reminder and covering letters: Go to Gateway of Tally > F12:Configure > Printing . Reminder Letter – CST Form. Covering Letter – CST Form. Enter default details in the CST Reminder Print Config screen, for reminder letters, and in the CST Covering Print Config screen, for covering letters.

Reminder Letters
Go to Gateway of Tally > Display > Statutory Reports > CST Reports > Form Receivable . Select the party’s ledger from List of Ledgers . In the Forms Receivable screen, press Print (Alt + P) . In the Report Generation screen, set Print Reminder Letter? to Yes .

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Print Preview

Covering Letters
Go to Gateway of Tally > Display > Statutory Reports > CST Reports > Form Issuable . Select the party’s ledger from List of Ledgers . In the Forms Issuable screen, press Print (Alt + P) .

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
In the Report Generation screen, set Print Covering Letter? to Yes .

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Print Preview

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Introduction

Fringe Benefit Tax was introduced as part of Finance Act, 2005 as an additional income-tax and came into force from April 1, 2005. The term Fringe Benefits means ‘any consideration for employment provided by way of any privilege, service, facility or amenity provided by the employer to the employees’. Fringe Benefit Tax is to be levied on the employer in respect of fringe benefits provided/deemed to be provided by the employer to his employees during any financial year commencing on or after 1.4.2005 Fringe Benefit Tax is payable at the rate of 30% of the value of fringe benefits computed in the manner prescribed under the Section 115WC.

Salient Features of FBT

Some of the features of FBT are listed as follows: 1. Fringe VERSION OF CHM employer CONVERTER PRO BY THETA-SOFTWARE UNREGISTERED Benefit Tax payable by anTO PDF is in respect of perquisites or fringe benefits provided or deemed to have been provided by the employer to his employees in addition to the cash salary or wages paid during the year. Fringe Benefit Tax is levied in addition to the Income-Tax charged.

2.

3. Fringe UNREGISTERED Benefit Tax is OF CHMis calculated rate on the value of fringe benefits provided to the employees. VERSION payable at the specified in accordance with the provisions of Section 115WC of the TO PDF CONVERTER PRO BY THETA-SOFTWARE The value of fringe benefits Income-Tax Act, 1961. 4. 5. An employer has to pay Fringe Benefit Tax even if no Income-Tax is payable on the total income. Like any other direct tax, Fringe Benefit Tax is not an allowable expenditure for the purpose of computation of taxable income.

Important points relating to Fringe Benefit Tax

Some of the important points to be observed in FBT: 1. 2. 3. 4. 5. 6. 7. 8. 9. 10. 11. Rate is calculated on Net Expenses. Expenses are not to be segregated between ‘Paid to Employees’ and ‘Paid to Outsiders’. Depreciation is calculated on the basis of Income Tax. FBT is applicable on Service Tax paid on any of the expenditure chargeable to FBT. Payment of FBT in case employers have employees based both in and outside India. Medical reimbursement upto Rs. 15,000 per employee is charged to FBT. Applicability of FBT in case an employer is engaged in two or more business activities. Different rates of tax on the Fringe Benefits provided by different industries. FBT is not payable on Advance paid. Tax Rate is 30% + Surcharge @10% + Education Cess @ 2% . One Ledger may have expenditure relating to different groups under FBT.

Characteristics of FBT

Some of the characteristics of FBT are: It is a VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE UNREGISTERED tax on expenditure, not income. It is a tax on employer, not employees. It is a surrogate tax on employers.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE It cannot be recovered from the employees.
It is to tax benefits that are usually enjoyed collectively by the employees and cannot be attributed to individual employees. A combination of presumptive and non-presumptive approaches has been adopted.

Classification of Employer for FBT

Under FBT, an Employer is defined as any of the following: Company Firm Association of Persons or a Body of Individuals (except Fund or Trust or institution eligible for exemption under section 10(23C) or registered under section 12AA) Local Authority Every Artificial judicial person, not falling within any of the above

Note:

Under

FBT,

they

are

considered

as

Employer

even

if

the

Taxable

Income

is

NIL.

Classification of Not Employer for FBT

The following are not included as Employer under FBT: An Individual (i.e., OF CHM TO PDF UNREGISTERED VERSIONProprietorship concern) CONVERTER PRO BY THETA-SOFTWARE Hindu Undivided Family Association of Persons or a Body of Individuals exempt under section 10(23C) or registered under section 12AA

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Central Government State Government

Direct Fringe Benefit

Direct Fringe Benefit as classified under section 115(WB) (1) means: Any privilege, service, facility or amenity, which is directly or indirectly provided by an employer to his employees (including former employee or employees). Any free or concessional tickets provided by the employer for private journeys to employees or their family members. Any contribution by the employer towards an approved superannuation fund for employees. Any reimbursement, which is directly or indirectly made by the employer to employees for any purpose.

Deemed Fringe Benefit

The Fringe Benefits are deemed to have been provided if the employer incurs any expenditure or makes any payment in the course of business or profession. This includes any activity whether or not such activity is carried on with the object of deriving income, profits or gains. Any expenditure incurred or payment made for the following constitutes deemed fringe benefit. UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Entertainment Hospitality

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Conference
Sales promotion including publicity Employee welfare Conveyance, tours and travel Hotel, boarding, lodging Repair, running and maintenance of cars Repair, running and maintenance of aircraft Use of telephone Maintenance of any accommodation in the nature of guest house Festival celebrations Health Club Any other club Gifts Scholarship to employees’ children Consumption of fuel other than industrial fuel

Payment of FBT to the government

In accordance with the provisions, the FBT should be paid in advance during any financial year and the regular assessment of fringe benefits is to be made in a later assessment year.

Advance Fringe Benefit Tax
Every assessee who is liable to pay advance tax has to pay tax on the current fringe benefits calculated in the manner laid down. The amount of advance tax payable in the financial year is 30% of the value of the fringe benefits paid or payable in each quarter. This is payable on or before the 15th day of the month following each quarter except for the quarter ending 31st of March. For the quarter ending on the 31st of March of the financial year, the amount of advance tax (on an estimated value) is to be paid on or before the 15th of March for the financial year. If tax is not paid or the tax paid is less than the prescribed rate, the assessee is liable to pay simple interest at the rate of 1% on the amount by which the advance tax paid falls short.

Filing of FBT return

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
For a company as an employer the due date is the 31st of October of the assessment year.

An employer who has paid or made provision for payment of fringe benefits to his employees during the previous year is required to furnish a return of fringe benefits in the prescribed form and manner to the Assessing Officer before the due date.

For a person who is an employer but not a company and whose accounts are required to be audited, the due date is the 31st of October of the assessment year. For any other employer, the due date for filing the return of fringe benefits is the 31st of July of the assessment year. UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE After the due date, the Assessing Officer may issue a notice to the assessee requiring him to furnish a return in the prescribed form and manner within a period of thirty days. Failure to furnish a return of fringe benefits or delayed filing of such return will result in the levy of interest at the rate of 1% for each month of delay or till the assessment is made on the amount of tax on the value of fringe benefits.

FBT in Tally

FBT in Tally provides an easy-to-use and flexible interface. It allows the user to view and print FBT Reports and Challans. N o t e: FBT can companies. be processed for both Accounts Only and Accounts With Inventory

Features of FBT in Tally
The FBT functionality in Tally supports the following features: Simple and user-friendly. Quick and easy to set up and use. Challan management and printing for prompt and accurate filing of tax. One-time easy configuration to enable FBT. You have to enter transactions; FBT is automatically calculated and generated in Reports. The FBT Report has FBT Computation Report which displays detailed FBT calculations for each category under FBT. The report also displays FBT (User-defined Ledger), Education Cess and Surcharge tax payable. Allows you to generate, print and file ITNS 283 Challan from Tally. All categories and assessee types of FBT are incorporated in Tally. Any changes made are updated automatically and manual changes are not required. FBT Assessee Type and FBT Category are displayed in the Statutory Masters with the details. Values in transactions are taken from here. Changes in details are updated automatically.

Enabling FBT in Tally

Configuration of FBT

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Set the option Use Accounting terminology of as India/SAARC in the F12: Configuration screen.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Enable FBT in F11: Features
You can enable Fringe Benefit Tax (FBT) by using the F11: Features screen. 1. 2. Go to Gateway of Tally > F11: Features > Statutory & Taxation Set the option Enable Fringe Benefit Tax (FBT) to Yes

2.

3.

Set Set/Alter FBT Details to Yes . The Company FBT Assesse Details sub form appears as shown.

3.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Income-Tax/PAN Number
If the Income Tax/PAN Number is not entered in the Company Master , the same can be entered in F11: Features under Company FBT Assessee Details . If the Income Tax/PAN Number is entered in the Company Master, it cannot be edited in F11: Features under Company FBT Assessee details .

Assessee Type
Set the Assessee Type to which your company belongs to. This information is used to calculate the Income Tax, Surcharge and Education Cess while computing FBT. Note: * The option Is Surcharge Applicable ? is applicable only if your Assessee Type is Association of Persons/Body of Individuals. On setting this field to Yes in the Company FBT Assessee Details, the surcharge is calculated in FBT Computation Report. * For the Assessee Type Local Authority, the option Is Surcharge Applicable? is not

applicable. * For all the other Assessee allowed to edit the same.

Types, this

option

is

set

to

Yes

by

default

and

you

are

not

Assessee Category
Select the appropriate Assessee Category from the list.

Display of FBT Assessee Types and Categories in Statutory Info.

Tally provides you with predefined set of FBT Categories and Assessee Details.

FBT Assessee Type UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
To view the FBT Assessee Type details, Go to Gateway of Tally > Display > Statutory Info > FBT Assessee Type

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Select the Assessee Type from the List of Assess Types. The screen has a Name field displaying the Assessee Type. The FBT Assessee Details displays the Rate of FBT, Surcharge, Additional Surcharge (Cess), Additional Education (Cess) and the dates they are applicable from.

FBT Categories
To view the FBT Category details, Go to Gateway of Tally > Display > Statutory Info > FBT Category

Select the FBT category from the List of FBT Categories. The screen displays the FBT Category and the corresponding Section code. The FBT Category section displays the Eligible Percentage for all the Assessee Categories and the dates they are applicable from. Note: Any changes to the values will be updated on the Tally website.

FBT masters

You have to specify the FBT Ledger Names under any of these main group heads – Duties and Taxes, Sundry Creditors, Sundry Debtors, Indirect Expenses or sub groups of these main group heads. Create the following ledgers under specified groups: UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Tax Ledger under Duties and Taxes Party Ledger under Sundry Creditors

UNREGISTERED VERSION OF CHMExpenses CONVERTER PRO BY THETA-SOFTWARE TO PDF Expense Ledger under Indirect

Creating Tax Ledger

The tax ledgers created under the group Duties and Taxes are used for calculation of tax. Tax Ledger is used in FBT payment. To create a Tax Ledger, Go to Gateway of Tally > Accounts Info. > Ledgers > Create Enter the Name of the tax ledger Select the group Duties & Taxes from the List of Groups Select FBT from the list of Types of Duty/Tax

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Creating a Party Ledger

Create ledgers for Party/Suppliers under the group Sundry Debtors/Sundry Creditors. To create an FBT Party Ledger , Go to Gateway of Tally > Accounts Info. > Ledgers > Create In the Ledger Creation screen, enter the name of the party in the Name field In the Under field, select Sundry Creditors/Sundry Debtors If required, set Maintain balances bill-by-bill? to Yes . Enter details in the Default Credit Period , if applicable. By default, the Inventory Values are affected? field is set to No. Accept and Save.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Creating an Expense Ledger

All the expense ledgers are to be created under the group Indirect Expenses . The group Indirect Expenses is used for booking expenses. To create an FBT Expense ledger, Go to Gateway of Tally > Accounts Info. > Ledgers > Create Enter the Name of the expense ledger Select the group Indirect Expenses from the List of Groups

When Is FBT Applicable ? is set to Yes , the field Default FBT Category? will be displayed. You have to select the appropriate FBT Category from the List of FBT Categories .

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Accept Yes to save the ledger

Creating/Altering FBT Voucher Type

To create or alter a FBT Voucher type such as Journal 1. Go to VERSION OF Voucher Types CONVERTER Journal UNREGISTEREDAccounts Info. > CHM TO PDF> Create/Alter > PRO BY THETA-SOFTWARE 2. In the Voucher Type Alteration screen, Type the Name of Class . For example, Fringe Benefit Recovery.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The following screen displays.

Set Use Class for FBT Recovery to Yes and Accept the screen.

Creating FBT Vouchers

Creating FBT Journal Voucher:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
1. 2. FBT Journal Voucher without a Class FBT Journal Voucher using a Class

FBT Journal Voucher can be created in two ways:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Creating FBT Journal without a class

1. 2. 3.

Go to Gateway of Tally > Accounting Vouchers > F7: Journal Select Entertainment from the list and enter the amount in the debit column Select the Party (Supplier) from the list. Amount appears automatically in the Credit column

N o t e : FBT supports selection of a ledger with multiple selection of FBT Category during entry to Y e s in F12:

categories. To do this, Configure screen.

set

Allow

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Creating FBT Journal with a class

To create a Journal Voucher using a Voucher Class , 1. 2. Go to Gateway of Tally > Accounting Vouchers Select F7: Journal button from the button bar or press the F7 key. Select the class as Fringe Benefit Recovery from the list Class Table.

3.

The FBT Journal voucher screen displays as shown. This provides the recovery details from an employee and the same appears in the FBT Computation report.

Debit the Supplier Credit the Expenses incurred

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

4. 5.

Enter the narration , if required Accept the voucher to save

Creating a Payment voucher to book expenses for FBT

To create a FBT Payment voucher, 1. 2. 3. 4. Go to Gateway of Tally > Accounting Vouchers Select F5: Payment from the Accounting Voucher Creation screen Enter the Date Select FBT Ledger in Particulars from the List of Ledger Accounts . The FBT Category sub screen displays. Select the appropriate category from the list of FBT Categories and enter the amount.

N o t e : The FBT Category e n t r y is enabled in F12:

is

displayed if Allow Configuration .

selection

of

FBT

Category

during

5. Credit Bank or Cash through which the payment is to be made against the FBT Ledger.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

6. Enter Narration , if required 7. Accept to save

Creating a Payment voucher without FBT helper button

1. 2. 3. 4. 5.

Go to Gateway of Tally > Accounting Vouchers Select F5: Payment in the Accounting Voucher Creation screen Select the Bank/Cash from the list Select the FBT Ledger from the list and enter the amount On selecting the FBT Ledger , the field FBT Details displays above the Narration field. Set FBT Details to Yes

6. On setting FBT Details to Yes , the following screen displays

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
7. Enter the FBT Filter details and Accept to save the payment voucher screen

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Creating a Payment voucher with the FBT helper button

Payment of FBT can be made using FBT Helper button. Payment will be calculated only on the vouchers which are between the From Date and To Date. N o t e : FBT Helper feature is P y m t / R c p t / C o n t r a ? in F12: 1. 2. 3. 4. available only if Use Single Entry mode for Configure (Voucher Configuration) is set to Y e s .

Go to Gateway of Tally > Accounting Vouchers Select F5: Payment in the Accounting Voucher Creation screen Press Alt + F or click FBT Helper from the button bar to view the FBT Filters sub screen Select the Type of Payment from the list. The selection will be reflected in the Challan

For example, if Advance Tax (100) is selected in the payment filter, Advance Tax is automatically marked (x) in the FBT Challan.

5. Select the ledger from the List of FBT Ledgers

6.

Enter the From Date and To Date to select the period for computing payment and for the generation of FBT Challan Select the Bank ledger from the List of Ledger Accounts, which is to be credited in the Payment Voucher Enter Narration , if required Click Print button or press Alt+ P to print FBT Challan , if required Accept to save

7.

8. 9. 10.

9. 10.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Printing FBT Challan

You can Print the FBT Challan for a FBT Payment voucher created manually or using the FBT helper button. To print a FBT Challan , 1. Press Alt + P or click Print from the button bar in the Payment Voucher screen to view the Voucher Printing screen

2. 3. 4.

Press Backspace to navigate from Print Yes or No ? and move the cursor to Print as FBT Challan ? Set Print as FBT Challan to Yes Accept the sub screen to save

3. 4.

Note: * If the option Print as FBT Challan is set to Y e s then Default Payment C h e q u e will not be printed. * Ensure you click With Preview button or press Alt+ I to view the FBT Print Preview mode

Challan Challan in

and

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Print Preview of FBT Challan

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Creating a Purchase voucher

To create a Purchase Voucher, Go to VERSION OF > Accounting Vouchers UNREGISTEREDGateway of Tally CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Select F9: Purchase from the button bar or press F9 Select As Voucher/As Invoice

UNREGISTEREDthe Date and Reference TO PDF CONVERTER PRO BY THETA-SOFTWARE Enter VERSION OF CHM
Credit the party ledge r from the List of Ledger Accounts Select the expenses from the List of Ledger Accounts and debit the same. The FBT Category sub screen displays. Select the appropriate category from the list of FBT Categories and enter the amount Enter Narration, if required Accept to save

N o t e : Set the Configure .

option

Allow

Expenses/Fixed

Assets

in

Purch.

Vouchers to Y e s In F 1 2 :

Creating a Debit Note

A Debit Note for FBT can be entered in Voucher or Invoice mode. Note Debit/Credit Notes to Y e s in F11: Features . UNREGISTERED : Set the option CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE VERSION OF Use To create a Debit Note, Go to Gateway of Tally > Accounting Vouchers Select VERSION OF CHM button bar or press Ctrl + F9 UNREGISTERED F9: Debit Note from the TO PDF CONVERTER PRO BY THETA-SOFTWARE Select As Voucher/As Invoice Enter the Date and Reference Debit Cash from the List of Ledger Accounts Select the Party from the List of Ledger Accounts and credit the same Enter Narration , if required Accept to save

FBT Computation

FBT Computation lists only those categories for which ledgers are created and transacted.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Go to Gateway of Tally > Display > Statutory Reports > FBT Reports > FBT Computation

To view the FBT Computation screen,

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

FBT Payment Details
Set the option Show FBT payment Details to Yes in F12: Configure for the payment details to be displayed in the FBT Computation screen.

The screen displays as shown

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Less: Advance Tax Paid
The value in this field is taken from all the Payment vouchers with the FBT Ledger and Type of payment marked as Advance Tax (100) with the appropriate period.

Less: Self Assessment Tax Paid
The value in this field is taken from all the Payment vouchers with the FBT Ledger, Type of payment marked as Self Assessment Tax (300) with the appropriate period.

Less: Tax paid on Regular Assessment
The value in this field is taken from all the Payment vouchers with the FBT Ledger and Type of payment marked as Tax On Regular Assessment (400) with the appropriate period.

Section Code
Set the option Show Section Code to Yes in F12: Configure if the Section code i s to be displayed in the FBT

Computation screen.

The screen displays as shown.

Expenditure Amount
This field displays the amount that is spent on the FBT marked Indirect Expenses like Entertainment, Conveyance, and so on.

Amount Recovered
The amounts that are recovered from the employees towards the expenses incurred are displayed here.

Nett Amount
The difference between the amount incurred on the Indirect Expenses and the amount recovered from the Employee is the Nett Amount.

Percentage as per Sec 115WC
The percentage of Rate of Tax of FBT Category (Enabled in F11: Features ) for the respective FBT category is displayed in this field.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
For more details, refer FBT Ledger Category

Value of Fringe Benefit

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The Percentage obtained as per sec 115WC on Nett Amount for the respective category is the value of Fringe Benefit.

FBT Ledger Category

From the FBT Computation screen press Enter on any particular FBT Category to drill down to a report that displays all the ledgers marked with respective FBT Category. Consider the FBT Category Entertainment – under the Section 115WB (2) (A)

Name of the Ledger
Name of the ledger marked with above mentioned FBT Category is displayed here.

Expenditure Amount
The amount spent towards Entertainment - 115WB (2) (A) and accounted for a particular ledger is displayed here.

Amount Recovered
The amount that has been recovered from the employees towards the expenses incurred is displayed here.

Nett Expenditure
The difference between the amount spent on Entertainment and the amount recovered from the Employee is the Nett Amount.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Percentage as per Sec 115WC
The percentage of the Rate of Tax of Company Assessee Category (enabled in F11: Features) for the respective FBT category is displayed in this field.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Value of Fringe Benefit
The percentage obtained as per sec 115WC on Nett Amount for the respective category is the value of Fringe Benefit.

FBT
Tax is calculated on the value of fringe benefits. Rate of tax is extracted from FBT Assessee Type master for the selected Assessee Type in F11: Features. For example, if Assessee Type is Association of Persons/Body of Individuals then, Income Tax Rate is 30%, Surcharge is 10 % and Education Cess is 2%. Note: The percentage will vary for different Assessee Types.

Surcharge
Surcharge is calculated on Fringe Benefit Tax Amount and is extracted in the same way as Rate of Tax .

Education Cess
Education Cess is calculated on the sum of value of Income Tax and Surcharge. Additional Surcharge Rate/Cess Rate is also extracted in the same way as Rate of Tax.

Total Tax
This is the total of the Income Tax, Surcharge and Education Cess percentage values. Note: * From FBT Ledgers * From FBT Ledger Alteration screen.

of Category, you can drill Vouchers, you can further

down to FBT drill down to

Ledger Vouchers. Accounting Voucher

Introduction

A manufacturer of excisable goods can avail MODVAT (now CENVAT) credit of duty paid on the goods purchased from any dealer w.e.f. 04.07.94. The dealer intending to issue modvatable (now Cenvatable) invoices should get themselves registered with the jurisdictional Range Superintendent by following the procedure prescribed in Rule 9 of Central Excise (No.2) Rules, 2001. All the godowns /Store-rooms should be registered separately. A Central Excise Registered dealer should ensure that the prescribed register is maintained for the godown/ Storeroom. All the consignments received/ issued from the godown have to be entered in the register (further details in Central Excise Rules and Manual). The Dealer shall issue the invoices in quadruplicate. The copies of the invoices issued by a first stage dealer and a second stage dealer shall be marked at the top as "FIRST STAGE DEALER" and "SECOND STAGE DEALER" respectively. The invoice issued by a first stage or second stage dealer in the case of imported goods and by a second stage dealer in the case of other goods, shall be duly authenticated by the officer. The Dealer shall issue one invoice for every consignment dispatched in one batch and at a given time. If a consignment is split into two or more batches, then each consignment is dispatched separately with separate invoices.

Who is a Trader/Dealer?
A Trader/Dealer is someone who purchases and sells goods and maintains an inventory of goods. A registered Excise dealer is a dealer of Excisable goods who is registered under Central Excise rules, 1944 and on the strength of whose invoice Cenvat credit can be taken.

Who will be covered under Dealer Excise?
The following dealers are covered under Excise for Dealer.

First Stage Dealer
A First Stage Dealer is one who purchases goods directly from any of the following:

The manufacturer under the cover of any invoice issued in terms of the provision of Central Excise Rules, 2002 or from the depot of the said manufacturer.

Goods purchased from the premises of the consignment agent of the said manufacturer.

Goods purchased from any other premises from where the goods are sold by or on behalf of the said manufacturer.

Goods purchased from an importer or from the depot of an importer.

Goods Purchased from the premises of the consignment agent of the importer.

Second Stage Dealer

A registered dealer who purchases goods from the First Stage Dealer is called a Second Stage Dealer.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Flowchart on Excise Dealer

The categorization of a dealer as first stage or second stage is not predefined. It is decided during the purchase. Therefore, a dealer may be a first stage dealer or a second stage dealer depending on the type of purchase. Assume you are a First Stage Dealer and you buy the goods from the importer or Manufacturer.

The Invoice issued on sale of goods to the Manufacturer or Second Stage Dealer has to indicate the amount of Excise Duty passed on or proportionate value to the excise of the goods being sold.

Example 2
Let us assume that you are a Second Stage Dealer and you purchase goods from a First Stage Dealer.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Type of Duties and Method of Calculation

The Duties for Excise can be calculated on Assessable value and on Duty Value. According to the Excise laws, find below the list of Excise duties with the method of calculation. Type of Duty Method of Calculation On Assessable Value On Assessable Value On Assessable Value Formula for Calculation

Basic Excise Duty Special Excise Duty Additional Duty of Excise (Goods of Special Importance) AED (GSI) Additional Duty of Excise (Textile and Textile Articles) AED (TTA) Additional Duty of Excise (Tea and Tea Waste) AED (TTW) National Calamity Contingent Duty (NCCD) Countervailing Duty (CVD) On Import) Education Cess

Assessable Value Assessable Value Assessable Value

On Duty Value

BED + SED

On Duty Value

BED + SED

On Duty Value

BED + SED + AED(GSI)

On Assessable Value

Assessable Value OR Assessable Value + BED BED + SED + AED(GSI)+ AED(TTA) +AED(TTW) + NCCD + ADE + SAD BED + SED + AED(GSI) + AED(TTA) + AED(TTW) + NCCD + ADE + SAD CVD Value

On Duty Value

Secondary Education Cess (SED)

On Duty Value

Education Cess on CVD

On Duty Value

Special Additional Excise Duty (SAD)

On Duty Value

BED + SED + AED(GSI) + AED(TTA) + AED(TTW) + NCCD + ADE BED + SED

Additional Duty of Excise (ADE)

On Duty Value

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Filing Excise Returns

Every registered dealer is required to maintain a Daily Stock Register of records of receipts of duty-paid goods and issue thereof, and submit quarterly return in the Form - 2.

Excise for Dealers in Tally

The Excise for dealers feature in Tally supports the following, making it easy for computation:

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE Easy to use
Fast and error free voucher entry

Complete tracking of Excise duty on each transaction

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Printing of Excise invoice with the Supplier & Manufacturer details as User configurable option

Reports are generated as per Central Excise Statutory requirements

Generation of Quarterly Return in Form-2

Generation of Sales and Purchase Extract

Enabling Excise in Tally

You can enable Dealer - Excise in Tally, in the F11: Features screen. Go to Gateway of Tally > F11: Features > Statutory & Taxation The Company Operations Alteration screen appears as mentioned below 1. 2. Set Enable Dealer – Excise to Yes . Set Set/Alter Dealer – Excise Details to Yes .

3.

The Company Excise Details sub-form appears as shown below.

3.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

ECC/PAN Based Regn/Code No.: The 15-Digit PAN based registration number is an alphanumeric number mentioned in the Registration Certificate. The first part would be the 10-character (alphanumeric) Permanent Account Number [PAN] issued by the Income Tax Authorities to whom the registration number is allotted (includes a legal person). The second part comprises a fixed 2-character alpha-code indicating the category of the Registrant. The third part is a 3-character numeric code. Commissionerate: The Commissionerate of central Excise is the division under which your registered premise is located.

Range

Code: Enter the code of the range under which your company is registered. Name: Enter the name of the range under which your company is registered. Address: Enter the address of the Range under which your company is registered.

Division

Code: Enter the code of the division under which your company is registered. Name: Enter the name of the division under which your company is registered. Address: Enter the address of the division under which your company is registered.

Creating a Supplier Ledger

Go to Gateway of Tally > Accounts Info > Ledgers > Create

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
1. 2. Enter the name of the Supplier in the Name field. Select the group Sundry Creditors in the Under field.

The ledger creation screen appears as shown below.

3. Set Maintain Balances CHM TO PDF and enter the Default Credit Period UNREGISTERED VERSION OF Bill by Bill to YesCONVERTER PRO BY THETA-SOFTWARE 4. 5. Inventory Values are affected is set to No In the Mailing Details section enter the supplier contact details, Income Tax and the Sales Tax numbers .

5.

6.

Set Excise Details to Yes to display the Excise Details sub form.

6.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

7. 8. 9. 10. 11.

Enter the Excise Registration Number of the supplier. Enter the Range under which the supplier’s company is registered. Enter the Division under which the supplier’s company is registered. Enter the division under which the premise of the Supplier’s company is registered. Select the Default Nature of Purchase from the Nature of Purchase list. The table lists the Type of Purchase , which can be changed during transactions.

N o t e : The and Sundry

Excise Details sub-screen Debtors only.

appears

for

ledgers

created

under

Sundry

Creditors

Creating Customer Ledger

Creating Customer ledger is similar to that of creating the Supplier Ledger but it should be created under Sundry Debtors.

Creating a Stock Item

Go to Gateway of Tally > Inventory Info > Stock item > Create

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The Stock Item Creation screen appears as shown below.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

1. Enter the name of the Stock Item in the Name field. 2. In the Under field, select the group under which the Stock Item is created from the List of Groups list. 3. Select the unit for the Stock Item from the Units list. 4. Set Excise Details to Yes to display the Duty Details sub form as shown below.

4.

5. Enter the Tariff Classification number.

Note: The Tariff Classification field is Note and Debit Note will list the Stock 6. 7. 8. 9. Select the Type of Duty from the List of Duties Specify the Rate of Duty Select the Method of Calculation After entering the details accept Yes to save

mandatory. Items with

The Tariff

Excise Purchase/Sales/Credit Classification only.

Refer to Types of Duties and Method of Calculation for details on all the duties.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Creating Ledgers for Excise Duty

The Ledgers for Excise Duty are used to Account the Excise Duty . Go to Gateway of Tally > Accounts Info > Ledgers > Create 1. 2. Select Duties & Taxes from the List of Groups Select Excise for Type of Duty/Tax

3. 4. 5.

Select the appropriate Duty Head from the list Set Inventory values are affected to Yes

3. 4. 5. Enter the Percentage of Calculation

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

6.

Select the Method of Calculation from the Type of Duty list

Similarly, you can create Ledger Masters for different Rates of Excise Duties .

Methods of Excise Accounting
The user can use any of the following two methods to account Excise Duty in Tally 1. On the Total Cost Basic Rate

Assessable Value + Taxes = Cost of the Item The sum of the Total Assessable Value and the Excise Duty will form a part of the Cost of the Item

Eg. Stock Item A costs 100 nos of Stock Item A Excise Duty@16% Education Cess@2% Secondary Education Cess @ 1% The Total Amount The Total Purchase Cost/unit Note: The Excise Duty paid by

Rs. 50/ unit Total Cost Rs. 5000(@ Rs. 50/unit) Rs. 800/Rs. 16/Rs. 8/Rs. 5824/Rs. 5824/100= 58.24 the dealer becomes the cost for the dealer.

2. Appropriation by Quantity or Value

Eg.

Stock Item A cost 100 nos of Stock Item A Excise Duty@16% Education Cess@2% Secondary Education Cess @ 1%

Rs. 50/unit Total Cost Rs. 5000 Rs. 800/Rs. 16/Rs. 8/-

The basic Rate of the Stock Item is retained and the details of the Excise Duty are shown using the duty ledgers created under the purchase account. The appropriation is done by Tally and the duty against is added to the cost of the material.

Creating Ledgers for VAT

VAT ledgers are created to allocate Input and Output VAT on purchase and sales transactions.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
1. 2. Select Duties & Taxes from the List of Groups Select VAT for Type of Duty/Tax

Go to Gateway of Tally > Accounts Info > Ledgers > Create

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

3.

Select the Default VAT/ Tax Class from the List of VAT/Tax Class

4. 5.

3.

4. 5. 6.

By default Inventory values are affected field is set to Yes Set Percentage of Calculation, if required Method of Calculation is set to On VAT Rate by default.

N o t e: If the V A T / T a x Class is not selected during v o u c h e r entry.

selected

at

the

ledger

level,

the

same

can

be

Creating Voucher Type

The Excise Voucher Type for Purchase , Sales , Credit Note and Debit Note has to be created before creating the invoices.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Creating Purchase Voucher Type
Go to Gateway of Tally > Accounts Info > Voucher Type > Create

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Name: Enter the name of the Voucher type. Type of Voucher: Select the type of voucher as purchase from the list of Voucher types . Abbreviation: You may abbreviate the Vouchers type as per your requirement. Method of Voucher Numbering: Select Automatic for the method of Voucher numbering.

Use Advanced Configuration: Set it to Yes to specify the numbering method, if required. Refer Creation of Voucher Types for details on other fields. Use for Dealer Excise: Set this field to Yes to enter Excise Purchase to capture Assessable Value and Excise Duty breakup. Accept the screen to save after entering all the details. N o t e : The Use for Dealer Excise option will appear Sales/Credit Note only and if the Dealer Excise is Statutory & Taxation . in Purchase/Debit Note and enabled in the F11 Feature F3

Creating Sales Voucher Type
Creating Sales Voucher Type is similar to that of Creating a Purchase Voucher Type but it should be created under the Sales Type of Voucher.

Creating a Debit Note Voucher Type
A Debit note Voucher type has to be created if a Debit Note has to be passed. The Voucher Type should be created under Debit Note type of Voucher.

Creating a Credit Note Voucher Type
A Credit note Voucher type has to be created if a Credit Note has to be passed. The Voucher Type should be created under Credit Note type of Voucher.

Creating an Excise Opening Stock

Tally allows you to maintain a record of Excise Opening Stock Balance of the Excise Stock Items N o t e : Excise the Inventory Info UNREGISTEREDExcise OpeningOF Stock optionPDF CONVERTER PRO BYmenu will t iappear onlyY e s .you VERSION CHM TO under with Use for Dealer Excise o p o n set to if THETA-SOFTWARE create an Purchase voucher type To create an Excise Opening Stock : Go to Gateway of Tally > Inventory Info > Excise Opening Stock

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

Creating an Excise Opening Stock
You can track the Excise Opening Stock by entering the Stock Item Purchase details in the Excise Opening Stock . Let’s consider an Example: A user buys 100 nos of Stock Item A from King & Sons and 50 nos of Stock Item A from MICO Manufacturing Limited . The Opening Stock carried forward for the current year will be 35 nos of Stock A ( 25 nos . from king & Sons and 10 nos from MICO Manufacturing Limited ). To record this Excise Opening Stock balance, you need to follow the below procedure: Go to Gateway of Tally > Inventory Info > Excise Opening Stock 1. 2. 3. Enter the purchase Invoice Number of the Stock Item in the field Supplier Invoice No.

1. 2. 3. Select the Party’s A/c Name from the List of Ledger Accounts Enter the Party details in the Party Details sub form

4.

Accept the above screen and select the Nature of Purchase from the list

4.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

5. 6. 7. 8.

Select the Purchase Ledger from the List of Ledger Accounts Select the Stock Item from the List of Excise Stock Items for the Item Allocations screen to appear Enter the Purchase Quantity in the field Quantity , i.e. quantity purchased from the supplier Enter the purchase Rate

8.

9.

Accept the above screen and the Excise Details screen to appear

9.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

10. 11. 12.

Enter the Supplier Invoice Number and Supplier Invoice Date Enter the PLA RG 23 Sl. No. if any Enter the Quantity on hand in the field Excise Opening Stock and accept the Excise Dealer sub form

N o t e : For accepted.

accurate

Duty

calculations

,

all

the

fields

in

the

above

screen

have

to

be

13.

Accept the above screen

Similarly, the Excise Details sub form for the Stock Item purchased from MICO Manufacturing Limited appears as shown

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE

The Excise Opening Stock appears as shown

N o t e : The Excise Opening Stock affect your Book of Accounts. They Book .

voucher is an o p t i o n a l voucher, can be viewed under Exception

which will not Reports and D a y

Creating an Excise Purchase Invoice

The Voucher Types created should be used for all the purchase and sales entries of Excise transactions.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
Go to Gateway of Tally > Accounting Vouchers > Select F9: Purchase

The Excise feature supports Multi Currency and Voucher Class.

1. Select the Excise Purchase as the Voucher Type from the list of Voucher types in the Invoice mode.

UNREGISTERED VERSION OF CHM TO PDF CONVERTER PRO BY THETA-SOFTWARE
3. Enter the Supplier Invoice No. and Date 4. Select the appropriate Party’s A/c Name from the list displayed The Party Details sub-form will appear as shown

2. Select Item Invoice on the right side of the screen

5. Supplier’s Details This section will include the Consignee and supplier details like the contact details, Sales Tax number and the Excise registration details. The details will appear automatically if they are provided during the Supplier Ledger Creation. N o t e : The Consignee Consignee Names in and F12: the Supplier Configuration details appear is enabled if Allow separate Buyer and

6. Manufacturer/Importer Details If your supplier is not a Manufacturer , enter the name , address , Excise registration details Invoice number and date of Invoice , of the Supplier Manufacturer /Importer. If you are not a Self Importer, you can enter the respective company details. After entering the above details, the Accounting Voucher Creation screen re appears.