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Sunday 31 December 2017

Wednesday 27 December 2017

Verification of Opening Balances in Tally

Verification of Opening Balances in Tally

Effective Date for Bank Reconciliation in Tally

Effective Date for Reconciliation (Bank Accounts only)

This is to be given for accounts falling under the Bank Accounts Group (or Bank OCC a/c). The books beginning date is taken by default. It appears in the Ledger Creation screen as shown below:



GST Login from Tally - GST Payment Challan from Tally

Tally TDL: Login to GST Portal from Tally



Sunday 24 December 2017

Tally Customization - HSN Code with GST Rate In Tally Purchase and Sales Voucher


Memorandum Vouchers in Tally

Memorandum Vouchers in Tally


In this article you are going to learn how to create and what is the use of:
Ø Memorandum Vouchers
Ø Post Dated Vouchers
Ø A blend of Memorandum and Post Dated Vouchers





Tally Customization -Tally TDL for View GSTIN in Purchase & Sales Vouchers


Copy  the Below TDL Code in text File

and save in any Folder.



Tally Customization -Tally TDL for Employee Photo In Tally

Copy  the Below TDL Code in text File

and save in any Folder.







Tally Exporting Masters and Importing Masters

Exporting Masters and Importing Masters in Tally







Export Masters

1. Go to Gateway of Tally > Display > List of Accounts.

2. Click E Export to open the Export Report.

Importing Opening Balance in Tally

Export Opening Balance from Previous Year





1. Go to Gateway of Tally > Display > List of Accounts.


Reverse Billing in Tally - Rate Inclusive of GST in Tally

Tally Reverse Billing (Inclusive of GST Billing)







Tally Customization - Bank Date in Day Book and Ledger in Tally TDL

Download the TDL from Below link

1. Copy the TDL and Paste it any one folder as you wish





Remove and Restore Lines in Tally