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Introduction to Tally Prime
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- What is Tally Prime?
- Differences Between Tally ERP 9 and Tally Prime
- Tally Prime Interface & Navigation
- Installation & Activation Process
- Creating and Managing Companies
Basic Configuration
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- Gateway of Tally Overview
- F11: Features & F12: Configuration in Tally Prime
- Multi-user Configuration
- Company Data Management (Backup, Restore, Split)
Masters: Accounting & Inventory
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- Group Creation & Management
- Ledger Creation and Configuration
- Stock Groups, Categories, Units
- Godown and Batch Management
Voucher Entry & Day-to-Day Transactions
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- Contra, Payment, Receipt, Journal
- Sales, Purchase, Debit Note, Credit Note
- Inventory Vouchers (Delivery, Receipt, Stock Journal)
- Optional & Reversing Journal
GST in Tally Prime
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- Activating GST in Tally Prime
- Creating GST Ledgers
- Intra-state & Inter-state Transactions
- HSN/SAC Codes and GST Rate Mapping
- GST Returns (GSTR-1, GSTR-3B) Reports
Banking Utilities
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- Cheque Management & Printing
- Bank Reconciliation with Auto BRS
- Deposit Slips, Payment Advice
- e-Payments Setup & Processing
Payroll Management
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- Enabling Payroll in Tally Prime
- Employee Master and Groups
- Salary Structures and Payslips
- Statutory Compliance (PF, ESI, PT)
Reports & Analysis
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- Ledger, Day Book, and Cash Book
- Trial Balance, P&L Account, Balance Sheet
- Stock Summary and Ageing Analysis
- Ratio Analysis & Scenario Management
Security & Control
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- User Management and Password Setup
- Control Centre & TallyVault Password
- Access Control by User Roles
- Audit Trail and Activity Logs
Remote Access & Tally on Cloud
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- Remote User Setup and Permissions
- Syncing Company Data
- Tally.NET Services Overview
- Cloud Access with Tally Prime
Advanced Features & TDL (Optional)
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- Cost Centres and Cost Categories
- Multi-Currency Management
- Budgets and Controls
- Introduction to TDL (Tally Definition Language)