1. Introduction to Tally |
- What is Tally?
- Tally Features Overview
- Tally Editions
- System Requirements
- Installation of Tally
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2. Getting Started with Tally |
- Creating a Company
- F11 and F12 Configuration & Gateway Overview
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3. Tally Prime Interface |
- Tally Gateway of Tally Prime
- Tally Control Center
- Navigating the Menu
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4. Accounting Basics in Tally |
- Understanding Accounting Principles
- Golden Rules of Accounting
- Types of Accounts in Tally
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5. Creating and Managing Ledgers |
- What is a Ledger?
- Creating a Single Ledger
- Creating Multiple Ledgers
- Altering and Deleting Ledgers
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6. Grouping Ledgers and Creating Groups |
- What are Groups?
- Creating Groups
- Default Groups in Tally
- Altering and Deleting Groups
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7. Voucher Entry in Tally |
- Understanding Vouchers
- Types of Vouchers
- Entering Voucher Transactions
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8. Bank Reconciliation in Tally |
- Setting Up Bank Accounts
- Bank Reconciliation Process
- Reconciling Bank Statements
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9. Inventory Management in Tally |
- Creating Stock Items
- Managing Stock Groups
- Stock Valuation
- Inventory Reports
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10. Generating Reports in Tally |
- Trial Balance
- Profit & Loss Account
- Balance Sheet
- Day Book and Cash Book
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11. Introduction to GST in Tally |
- What is GST?
- GST Types: CGST, SGST, IGST
- Configuring GST in Tally
- Creating GST Ledgers
- GST Rates and Taxes Setup
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12. GST Transactions in Tally |
- Recording GST Sales and Purchases
- Managing GST Invoices
- GST on Exports and Imports
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13. Generating GST Reports in Tally |
- GST Returns Overview
- GSTR-1, GSTR-2, and GSTR-3B
- GST Audit Report
- GST Payment and Refund Process
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