Tally Prime Course Account and Intro
Tally Prime Course Account and Intro
Super Success
Institute
Muzaffarnagar
Ajay Gulia
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Price List ........................................................................................................................ 34
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Bill of Materials ........................................................................................................... 37
Zero Value Entries...................................................................................................... 40
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Actual & Billed Quantity........................................................................................... 42
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TallyVault ...................................................................................................................... 53
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Types of Accounts
Personal Account
Real Account
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Nominal Account
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Personal Account: Any individual person or any firms or any company or a bank is considered in
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For example:-
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Rajesh Singh
Muna Enterprise
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PNB Bank
Capital etc.
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Real Account: Account of any physical things. The cash account or goods account are examples
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of Real account.
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Nominal Account: Account of any invisible things that means that things are in terms of cash
are examples of Nominal account.
Real Accounts
Nominal Accounts
All Expenses or Losses Debit (Dr)
All Income or Gains Credit (Cr)
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ENTRIES
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9. Sold goods to SuperRs 12700
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Super a/c Dr 12700
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To Sales a/c 12700 dy
10. Received cash from SuperRs 12446 and allowed him discount Rs 254
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Tally Prime is accounting software, used in business to record, summarize and maintain
business transactions. Tally was developed in 1984 by Shyam Sunder Goenka in Bangalore.
For Training purpose : Most of the computer training Institute use Educational Mode:
Note : Tally Prime- educational mode work without a license, where you can input data only on
the first, second, and last days of the month.
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Open Tally > W: Work in Educational Mode
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CREATE A COMPANY
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Accounting
Maintain Account : Yes
Enable bill wise entry : Yes
Inventory : No
Enable Goods and Service Tax (GST) : No
TDS : No
Accept
Shut Company
Delete Company
Go To> F3 (Company)> Alter Company > Alt + D
Company Super Traders has been deleted
PRE-DEFINED GROUP
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Gateway of Tally > Chart of Account > List of Masters >Groups
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There are 28 predefined groups in Tally dy
15 groups are Primary Groups and the remaining 13 groups are Sub-Groups
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1. Branch / Divisions (P) 15. Direct Expense (P)
2. Capital Account (P) 16. Direct Incomes (P)
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CreatingGroup :Gateway of Tally >Masters > Create > Accounting Masters > Group
By default there is two ledgers (1) Cash (2) Profit and Loss A/c
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Building Accrued Dep Building (Fixed Assets)
Office Equipment Cost Office Equipment (Assets)
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Office Equipment Dep Office Equipment
Sales Tax Duties & Taxes
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T.D.S Duties & Taxes
Shivam Kumar Sundry Creditors
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Sona Enterprise Sundry Creditors
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Sales Tax 9000
T.D.S 4500
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Shivam Kumar 32000
Sona Enterprise 20000
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Education Loan 60000
Bill Receivable 14000
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Computer Sales 72000
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Bank Interest
Purchase 120000
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Wages 10000
Freight 500
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Salaries 20000
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Trial Balance
Gateway of Tally > Display more Reports> Trial Balance > Press F5 (Ledger wise and Group wise)
All entries which you made in these given accounting vouchers are effect on your
current accounting of your business.
F4: Contra
Cash deposited into bank and cash withdrawn from bank entries.
F5: Payment
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Cash and cheque payment including cash and bank purchase entries.
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F6: Receipt dy
Cash and cheque received including cash and bank sales entries.
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F7: Journal
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F8: Sales
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F9: Purchases
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Paid discount Rs 2000 (Payment.F5)
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Sold goods on credit to Mr. SameerAlamRs 72000 (Sales. F8)
Purchase goods on credit from Super Pvt. Ltd. Rs 16000 (Purchase. F9)
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Received cash from Mr. SameerAlamRs 72000 (Receipt. F6)
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Paid cash to Mr. Pawan KumarRs 60000 (Payment.F5)
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(Contra.F4)
Cr Cash 25000 Cash in Hand
Dr PNB Bank 25000 Bank Accounts
(Payment.F5)
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Dr Purchase 50000 Purchase Accounts
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Cr Cash 50000 Cash in Hand
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(Payment.F5)
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(Purchase. F9)
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(Payment.F5)
(Purchase. F9)
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(Receipt.F6)
Cr SameerAlam 72000
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Sundry Debtors
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Dr Cash 72000 Cash in Hand
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(Payment.F5)
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(Receipt. F6)
(Payment.F5)
(Payment.F5)
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(Contra.F4)
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Cr Cash 10000 Cash in Hand
Dr PNB Bank 10000 Bank Accounts
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(Receipt.F6)
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(Payment.F5)
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(Journal.F7)
(Contra.F4)
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(Receipt.F6)
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Cr Service Charge 18000 dyIndirect Income
Dr Cash 18000 Cash in Hand
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(Payment.F5)
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Balance Sheet
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