Feb 27, 2009

Reconciliation of Bank accounts


Reconciling the Company's Bank Accounts with the Banker's Statement is a fundamental and regular task of Accounting. Our first presentation of this facility aims to tackle two issues.

First, there should be the ability to 'check back' the correctness of the reconciliation. This has been done, by marking the 'Bank Date' against the voucher. For instance, if you have issued a Cheque on 8th April, which was ultimately cleared by your Bank on 19th April, - you would set the Bank Date for the voucher to be 19th April. This means, that when you next need to 'check back' whether the entry made by you is correct, you will only need to verify the Bank Statement of the 19th.

Second, that you should be able to 'recover' the reconciliation as of any date. This is of crucial importance to Auditing. The Bank Reconciliation is one of the pre-requisites of Auditing and verification of the correctness of accounts at the year end. However, it is not a 'real-time' task – in the sense, that it is not done by the auditor's on the first day of the next year. This means, that the reconciliation made on 31st Mar, should be 'viewable' even in August, - by when almost all the Cheques would have subsequently been marked as reconciled. This has again been achieved using the concept above.

Bank Accounts may have a different 'Starting Date' for reconciliation purposes. When you create a Bank Account, you are requested to give an 'Effective Date for Reconciliation' just before the Opening Balance. Normally, this would be the Books Beginning from date itself. However, you could have imported data from a previous version of Tally or from any other system (where the reconciliation process was not available or was different. In that case, you may not wish to reconcile the bank account with your bank statements from the very beginning. Give the date from which you want the reconciliation facility to be activated. Then, previous entries will not appear for reconciliation, but will be taken as a reconciled Opening Balance.

A quick experiment with Reconciliation will show you what is meant. Here is how you go about it:

1. Bring up the monthly summary of any Bank Book. (You could do this from the Balance Sheet, Trial Balance, or Display/Account Books/Bank Books, and selecting a Bank).

2. Bring you cursor to the first month (typically April), and press Enter. This brings up the Vouchers for the month of April. Since this is a Bank Account, an 'additional' button F5: Reconcile will be visible on the right. Press F5.

3. The display now becomes an 'Edit' screen in 'Reconciliation' mode. The primary components are :A column for the 'Bankers Date'

4. The 'Reconciliation' at the bottom of the screen, showing:

5. Balance as per Company Books

6. Amounts not reflected in Bank

7. Balance as per Bank

The Balance as per Company Books reflects your Balance as on the last date (in our example case, 30- Apr).

The Amounts not reflected in Bank is the debit and credit sums of all those vouchers whose Bank Date is either BLANK, or GREATER than 30-Apr (i.e. these vouchers have not yet been reflected in the Bank Statement).

The Balance as per Bank is the Net effect of your Book Balance offset by the amounts not reflected in the Bank – which should equal the balance in the Bank Statement. (Of course, some variation may persist due to entries made in the Bank Statement which you have not yet entered in your Books – but since you WILL definitely enter them, and only then print your reconciliation, it will ultimately reflect the correct balance).

You will find, as you mark off the individual vouchers by setting the 'Bank Date', that the Reconciliation at the bottom of screen keeps reflecting those changes instantly. When you are finished, press Ctrl +A (or press Enter as many times as necessary to skip over the unmarked vouchers), and accept the screen. (If your screen has a largish number of vouchers it may take some time to complete the acceptance – be patient).

The next time you come for reconciliation, you will be presented only with those vouchers which remain un reconciled. Thus, the task keeps becoming simpler.

(It may be possible, that due to an error of entry made earlier, you wish to see those vouchers which are already marked as reconciled – so that you may modify their marking. To do this, press F12:Configure. In case you have already pressed a few keys BEFORE pressing F12, Tally will query whether you wish to discard changes made so far, if any, by asking 'Quit Y/N'. Simply press Y – and the configuration screen will appear. Here, specify whether you wish to see the reconciled vouchers also).

Remember, to print your Reconciliation, just press Alt+P!

Feb 19, 2009

Account Books in Tally 9

Books of account record the individual transaction details you have entered. Although you may post items to many different ledgers, Tally brings all the transactions of one category together into a book of account for viewing and printing. For example, the Cash Book records all the transactions affecting cash, the Sales Book records all the sales transactions.
1) All books are displayed first as a monthly summary with opening and closing balances.

2) Select a month and press [enter] to display all transactions for the month. The opening and closing balances as well as transaction totals are also displayed.

3) Select a transaction to bring up the voucher. This voucher comes up either in display or in alteration mode depending upon the access rights available to you.






Feb 18, 2009

Day book

Gateway of Tally > Display > Day Book

The Day Book is a list of all transactions for a particular day, by default the current date. It can also list all the transactions for a period. Transactions include all financial vouchers, reversing and memorandum journals as well as inventory vouchers.

For example:

Day Book for a period:
Day Book

The list can be filtered to show transactions of a particular voucher type. Use Chg Vch button.

When in a specific voucher, e.g. Delivery Notes, options like Extract and Columnar become available.





Vocher entry major types

In Tally , Voucher entry consist of mainly two types I) material in & out II) Amount in & out.

In each type sub varieties are there as below

I) Material In & Out
  1. Sales voucher
  2. Purchase voucher
  3. Goods receipt notes
  4. Rejection in
  5. Rejection Out
  6. Delivery notes Etc.
II) Amount In & Out
  1. Receipts
  2. Payments
  3. Contra
  4. credit notes
  5. Debit notes
  6. Commission
  7. Discounts. Etc
If we learn OR understand mainly Sales, Purchase, Payment & Receipts entry, Then all other entry are similar to above entry only relevant situation different names are there.

Feb 16, 2009

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The visual representation and the cues allow you to clearly see the song's structure, and never be surprised by a break anymore.
The vinyl controls will let you scratch like on a real turntable, except that with the beatlock engine your scratches will never end out of the beat.

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  • Synchronized sampler with 12 instant slots
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  • Infinite number of cue points saved per songs
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tally tutorial source for industrial tools RCM business






Feb 11, 2009

Short cut keys in tally 9 & its use

The shortcut keys appear in button names in the button bar (right side of the Tally screen). You can either click the button from the button bar or press the relevant function key or character underlined/double-underlined.

The buttons have a function key before the button names ( Eg: F1: Select Cmp) which means you need to press F1 key (Function Key) to select the 'Select Company' screen

The buttons have an underlined character ( Eg: F3:Cmp Info), which means you need to press ALT + F3 to select the 'Company Info' screen.

Some buttons have a double-underlined character (Eg: As Voucher) which means you need to press CTRL + V to select the 'Voucher' in voucher mode.

The shortcut keys available in Tally are listed in the below slide show:






Feb 7, 2009

Purchase transaction in tally

This slide shows steps involved in Purchase voucher entry in Tally 9








Feb 6, 2009

Tally ODBC with Microsoft Excel

Tally ODBC extracts data from Tally and designs the reports in MS Excel. The steps to be followed are:

Start Tally and keep it open till the Mail Merge process is completed.

Ensure ODBC Server is displayed on Tally’s calculator pane.

Open MS Excel.

Click on Data > Get External Data > New Database Query from the Menu.

Select TallyODBC from the Choose Data Source dialog box.

The screen appears as:

Query Wizard displays fields from Tally. Select and click the “>” button to select fields required in your query.

The screen appears as:

Use the Filter Data dialog box to limit the data to suit your requirement.

Sort your data in ascending or descending order in the Sort Order dialog box.

Click on Finish to complete the Query process.

Click on OK from the Returning External Data to Microsoft Excel dialog box to display the selected columns on the Excel sheet.

The screen appears as:

 

 

 

 

Creating ledger a ledger in tally 9

Creation of a Ledger account

The information required for creation of ledgers depends on the features opted by you. If the setting of the Accounting Features [F:11] of your company is No for all options, your ledger creation screen would need minimal information.

It should be noted that Tally automatically creates two ledger accounts, viz., Cash (under Cash-in-hand) and Profit & Loss Account (direct Primary account). It does not make any other presumptions. You must create all other account

heads. There are no restrictions in ledger creation except that you cannot create another Profit & Loss A/c (actually an account that behaves like one). You may create any number of Cash accounts (by another name like "Petty Cash" ).

Gateway of Tally > Accounts Info. > Ledgers > Single Create