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- Module 1: Introduction to Tally Prime
- Overview of Tally Prime Interface
- Company Creation, Alteration & Deletion
- Setting up Security and User Access
- Module 2: Masters Setup
- Accounting Masters
- Creating Ledger Accounts (Customers, Suppliers, Bank, Expenses)
- Grouping and Ledger Management
- Inventory Masters
- Stock Group, Category, and Item Creation
- Units of Measurement
- Batch-wise and Godown Management
- Module 3: GST Configuration
- Enabling GST in Tally Prime
- Configuring GST for Company and Ledgers
- Creating GST Tax Ledgers (CGST, SGST, IGST)
- Module 4: Accounting Vouchers
- Module 5: Inventory Vouchers with GST
- Purchase Invoice with GST
- Delivery Challan, Receipt Note
- Module 6: GST Transactions
- Intra-state and Inter-state GST Transactions
- Reverse Charge Mechanism (RCM)
- Composition Scheme Accounting
- Module 7: GST Reports
- GST Summary & Tax Reconciliation
- E-Way Bill (Concept & Entry)
- Module 8: Banking & Cheque Management
- Bank Reconciliation Statement (BRS)
- Post-Dated Cheques
- Cheque Printing Configuration
- Module 9: Financial Reporting
- Module 10: Backup & Data Management
- Backup & Restore Company Data
- Exporting Reports to Excel/PDF
- Data Security and Configuration
- (DURATION – 2 MONTH)
- (100% Knowledge Guarantee)
- (Full Practical Training)
- (Job-Oriented Syllabus)
- (Supportive Mentors, Not Just Teachers)
- (Govt. Recognized Certificate)
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