Smart Tally Specialist Volume ( 1 to 3 ) STANDARD

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Description :

Content : - 

Volume - l

1

Basic Accounting (Manual)

2

Starting Tally Prime

3

Creating the Company

4

Creating Ledgers

5

Voucher Entry

6

Altering Ledgers

7

Creating Multiple Ledgers

8

Altering Vouchers

9

Daybook

10

Single Entry Mode

11

Ledgers

12

Viewing Ledgers in Tally Prime

13

Start Tally Prime

14

Trial Balance

15

Viewing the Trial Balance in Tally Prime.

16

Profit & Loss Account

17

Profit & Loss Account in Tally Prime

18

Balance Sheet

19

Balance Sheet in Tally Prime

20

Gross Loss

21

Trial Balance (Gross Loss)

22

Profit & Loss Account (Gross Loss)

23

Balance Sheet (Gross Loss)

24

Net Loss

25

Trial Balance (Net Loss)

26

Profit & Loss Account (Net Loss)

27

Balance Sheet (Net Loss)

28

Deleting Voucher

29

Progressive Computer Systems

30

Year End Routine in TallyPrime

31

Split Company Data

32

Team Work Sales & Services Case Study

33

Company Creation

34

Transactions for April 2019

35

Trial Balance for April 2019

36

Transactions for May 2019

37

Transactions for June 2019

38

Transactions for July 2019

39

Transactions for August 2019

40

Transactions for September 2019

41

Transactions for October 2019

42

Transactions for November 2019

43

Transactions for December 2019

44

Transactions for January 2020

45

Transactions for February 2020

46

Transactions for March 2020

47

Depreciation

48

Entering Closing Stock on Physical Counting and Evaluation

49

Provisions

50

Extending the Accounting Period

51

Transactions for April 2020

52

Finalization of the Period April 2019 to March 2020

53

The Primary Ledger - Profit & Loss A/c.

54

List of Accounts

55

List of Transactions

Volume - II

1

Abhijit Enterprises Case Study

2

Basic Inventory Transaction and Invoicing using TallyPrime

3

Data Entry using Invoice Format

4

Understanding Direct and Indirect Expenses / Incomes

5

Hunger Remedies Case Study

6

Bill Wise Outstanding Receivable

7

Bill Wise Outstanding Payable

8

Bank Reconciliation

9

Cheque printing and Post-Dated Transactions

10

Grouping of Accounts

11

Specialist Electricals Case Study

12

Purchase Return (Debit Note)

13

Sales Return (Credit Note)

14

Using Alternate and Compound Units for Stock Items

15

Classification of Stock Items

Volume - III

1

GST in TallyPrime

2

Defining GST at Company Level

3

Defining GST at Stock Group Level

4

Defining GST at Stock Item Level

5

B2B Inter-State Sales

6

B2C (Large) Inter-State Sales

7

B2C (Small) Inter-State Sales

8

Defining GST at Ledger Level

9

Credit Note

10

Debit Note

11

Nill Rated Invoices

12

Exports

13

Advance Received Towards Supply of Services

14

Availing of Input Credit – April 2020

15

Supply of Services

16

Import of Goods under GST

17

Services received from Goods Transport Agency

18

Availing of Input Credit – May 2020

19

GST Returns

20

Change in Tax Rate

21

Availing off Input Credit and Payment of Tax.

22

GST Based of Item Rate

23

Effect of Additional Charges & Discount on Assessable Value

24

Trade Discount & Round Off

25

eWay Bill

26

e-Invoicing

27

Raja Pipes Case Study

28

Samarth Electricals Case Study

29

Printing Reports and Documents

30

E-Mailing Reports & Documents

31

Exporting Data and Reports to be View or Edited

32

Backup & Restore of Data

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