Table of Contents
- Introduction to Tally Prime
- Understanding the concept of accounting software
- Features and benefits of Tally Prime
- Installation and setup of Tally Prime
- Creating and managing companies in Tally Prime
- Basic Navigation and Data Entry in Tally Prime
- Understanding the Gateway of Tally
- Creating, displaying, and altering masters
- Recording and editing accounting vouchers
- Understanding types of vouchers in Tally Prime
- Entering basic transactions in Tally Prime
- Viewing and modifying reports in Tally Prime
- Advanced Voucher Entry in Tally Prime
- Recording and editing advanced transactions
- Understanding different voucher types
- Using voucher classes and subclasses
- Configuring and using cost centers
- Allocating and transferring costs
- Defining and using multiple currencies
- Using Bill-wise details and pre-defined vouchers
- Configuring and using budgets
- Using optional vouchers and reversing entries
- Inventory Management in Tally Prime
- Understanding stock groups, categories, and items
- Creating and maintaining stock items
- Recording purchase and sales transactions
- Managing stock journals and manufacturing vouchers
- Handling stock transfers and rejections
- Configuring and using batch-wise details
- Managing multi-location inventory
- Generating inventory reports in Tally Prime
- Using inventory features for business analysis
- Financial Management in Tally Prime
- Configuring and using cost categories and centers
- Setting up and managing multiple currencies
- Creating and maintaining budgets
- Recording and analyzing financial statements
- Managing cash flow and fund flow in Tally Prime
- Configuring and using banking features
- Reconciliation of bank accounts in Tally Prime
- Generating financial reports for analysis and audit
- Using Tally Prime for GST compliance
- Advanced Accounting in Tally Prime
- Managing bills of exchange and post-dated transactions
- Recording and managing compound journal entries
- Handling foreign currency transactions in Tally Prime
- Configuring and using cost centers and cost categories
- Creating and maintaining scenarios
- Using memorized vouchers for quick entries
- Configuring and using price lists
- Generating advanced accounting reports in Tally Prime
- Inventory Management in Tally Prime
- Configuring and creating stock groups and stock categories
- Recording and managing stock items in Tally Prime
- Configuring and using units of measure
- Handling stock transfers and stock journals
- Managing stock valuation and costing methods
- Recording stock transactions with GST
- Generating inventory reports in Tally Prime
- Using stock aging analysis and reorder level management
- Banking and Finance in Tally Prime
- Recording and managing bank transactions in Tally Prime
- Reconciling bank statements
- Recording and managing cash transactions
- Managing multiple cash and bank accounts
- Configuring and using cheque printing
- Setting up and using E-banking
- Recording and managing loan transactions
- Generating banking and finance reports in Tally Prime
- Inventory Management in Tally Prime
- Understanding inventory concepts and terminologies
- Creating and managing stock items
- Recording purchase transactions with inventory
- Recording sales transactions with inventory
- Recording stock transfer and movement
- Managing stock categories and classifications
- Tracking stock valuation and costing
- Generating inventory reports
- Advanced Voucher Entry in Tally Prime
- Understanding advanced voucher entry features
- Recording complex transactions with advanced voucher entry
- Using multiple cost centers and cost categories
- Allocating expenses and revenues across cost centers
- Recording multi-currency transactions
- Managing bill-wise details and outstanding liabilities
- Using scenario management for financial forecasting
- Generating advanced financial reports
- Inventory Management in Tally Prime
- Understanding inventory concepts and types
- Creating stock items and stock groups
- Recording purchase and sales transactions with inventory
- Managing stock transfers, stock journals, and stock valuation
- Using batch-wise and expiry date-wise inventory
- Handling multiple units of measure and compound units
- Generating inventory reports and analysis
- Advanced Accounting Features in Tally Prime
- Accounting with cost centers and cost categories
- Budgets and scenario management
- Multi-currency accounting
- Interest calculation and bank reconciliation
- Preparing financial statements
- Using MIS reports for analysis
- VAT and GST accounting in Tally Prime
- Inventory Management in Tally Prime
- Creating and managing stock items
- Recording purchase and sales transactions with stock items
- Stock groups, categories, and classifications
- Stock valuation methods and cost tracking
- Handling stock transfers and inter-branch transfers
- Stock ageing analysis and reports
- Stock item pricing and discount management
- Batch-wise and expiry date-wise tracking
- Reorder level and minimum order quantity
- Financial Management in Tally Prime
- Creating and managing ledgers and groups
- Recording financial transactions
- Setting up and managing cost centers
- Budgeting and variance analysis
- Cash and bank management
- Bank reconciliation
- Payment and receipt vouchers
- Creating and managing financial statements
- Financial ratios and analysis
- TDS (Tax Deducted at Source) and TCS (Tax Collected at Source)
- GST (Goods and Services Tax) compliance
- Generating financial reports
- Advanced Features in Tally Prime
- Inventory management
- Purchase and sales orders
- Job costing
- Bill-wise tracking
- Multi-currency accounting
- Payroll management
- Cost allocation and apportionment
- Advanced financial statements
- Data synchronization and security
- Backup and restore
- Troubleshooting and support
- Financial Management in Tally Prime
- Financial statements
- Ratio analysis
- Fund flow and cash flow statements
- Budgeting and forecasting
- Cost center and profit center accounting
- Interest calculation
- Depreciation accounting
- Bank reconciliation
- TDS (Tax Deducted at Source) and TCS (Tax Collected at Source)
- GST (Goods and Services Tax) compliance
- Advanced Inventory Management in Tally Prime
- Stock groups and categories
- Stock items and units of measure
- Purchase and sales order processing
- Purchase and sales returns
- Price and discount management
- Batch-wise and expiry-date-wise tracking
- Reorder level and minimum order level
- Stock valuation methods
- Inventory aging analysis
- Stock transfer and inter-unit transfer
- Manufacturing processes
- Bill of materials and production orders
- Job costing and costing methods
- Financial Management in Tally Prime
- Financial statements
- Financial ratios
- Cash and bank management
- Funds flow and cash flow analysis
- Budgeting and variance analysis
- Cost centers and cost categories
- Cost allocation and tracking
- Multiple currency management
- Interest calculation and management
- Banking and reconciliation
- Cheque printing and management
- E-payments and e-reconciliation
- Financial reporting and analysis
- Inventory Management in Tally Prime
- Stock items and stock groups
- Unit of measure and conversion
- Stock transactions and vouchers
- Stock valuation and costing methods
- Stock tracking and reporting
- Stock reconciliation and adjustment
- Batch-wise and expiry-wise tracking
- Stock aging and analysis
- Stock transfer and inter-branch transfers
- Stock reorder level and order processing
- Stock item price lists and discounts
- Stock item commission and brokerage
- Stock item bill of materials (BOM)
- Stock item pricing and costing methods
- Stock item tracking and reporting
- GST (Goods and Services Tax) in Tally Prime
- Understanding GST in India
- Configuring GST in Tally Prime
- Recording GST Transactions
- Generating GST Reports
- Filing GST Returns in Tally Prime
- Bank Reconciliation in Tally Prime
- Understanding Bank Reconciliation
- Configuring Bank Reconciliation in Tally Prime
- Recording Bank Transactions
- Reconciling Bank Statements
- Handling Bank Reconciliation Discrepancies
- TDS (Tax Deducted at Source) in Tally Prime
- Understanding TDS and its applicability
- Configuring TDS in Tally Prime
- Recording TDS Transactions
- Generating TDS Reports
- TDS Compliance and Filing
- Advanced Accounting in Tally Prime
- Handling Multiple Currencies
- Creating and Managing Cost Centers
- Configuring and Using Cost Categories
- Recording Cost Center-based Transactions
- Cost Center-wise Reports
- Budgets and Controls in Tally Prime
- Advanced Voucher Entry in Tally Prime
- Pre-defined Voucher Templates
- Creating and Using Voucher Classes
- Creating and Using Voucher Types
- Creating and Using Voucher Numbering
- Post-dated Vouchers
- Memorandum Vouchers
- Optional Vouchers
- Financial Statements and Reporting in Tally Prime
- Balance Sheet
- Profit & Loss Statement
- Fund Flow Statement
- Ratio Analysis
- Financial Reporting in Tally Prime
- Customization of Reports
- Exporting Reports in Different Formats
- Printing and Emailing Reports
- Report Analysis and Interpretation
- Understanding Key Financial Ratios
- Interpreting Financial Statements
- Analyzing Business Performance
- Tally Prime for Inventory Management
- Introduction to Inventory Management
- Creating and Managing Stock Items
- Creating and Managing Units of Measure
- Creating and Managing Godowns
- Recording Inventory Transactions
- Stock Transfers and Inter-Godown Transfers
- Stock Valuation and Costing Methods
- Physical Stock Verification and Reconciliation
- Inventory Reports and Analysis
- Price Levels and Price Lists
- Batch-wise and Expiry Dates
- Bill of Materials (BOM)
- Job Costing and Job Work in Tally Prime
- Manufacturing Journal
- Order Processing and Tracking
- Sales and Purchase Orders
- Invoicing and Billing
- Sales and Purchase Returns
- Stock Ageing Analysis
- Stock Movement Analysis
- ABC Analysis and Classification
- Inventory Control and Optimization
