What you'll learn
Module 1: Introduction to TallyPrime
- Introduction to TallyPrime and accounting software
- Features and applications of TallyPrime
- TallyPrime interface and navigation
- Company creation and configuration
- Company alteration and deletion
- Financial year and company settings
- Backup and restore
Module 2: Fundamentals of Accounting
- Introduction to accounting
- Accounting concepts and principles
- Types of accounts
- Debit and credit rules
- Assets, liabilities, income and expenses
- Capital and drawings
- Accounting equation
- Basic accounting transactions
Module 3: Company & Ledger Management
- Creating and maintaining companies
- Groups and sub-groups
- Ledger creation and alteration
- Cash and bank ledgers
- Customer and supplier ledgers
- Opening balances
- Ledger reports and verification
Module 4: Voucher Entry & Accounting Transactions
- Introduction to vouchers
- Contra Voucher
- Payment Voucher
- Receipt Voucher
- Journal Voucher
- Sales Voucher
- Purchase Voucher
- Debit Note
- Credit Note
- Voucher alteration and cancellation
Module 5: Inventory Management
- Introduction to inventory
- Stock Groups
- Stock Categories
- Stock Items
- Units of Measurement
- Godowns/Locations
- Opening stock
- Purchase and sales inventory
- Stock transfer
- Physical stock
- Inventory reports
Module 6: GST & Taxation
- Introduction to GST
- GST configuration in TallyPrime
- GST registration details
- CGST, SGST and IGST
- GST ledgers
- GST sales and purchase transactions
- Tax invoices
- Input Tax Credit
- GST reports
- GSTR-1 and GSTR-3B basics
Module 7: Banking & Financial Transactions
- Bank ledger configuration
- Bank reconciliation
- Cheque printing
- Payment and receipt management
- Deposit and withdrawal entries
- Bank statements
- Electronic payments
- Banking reports
Module 8: Payroll Management
- Introduction to payroll
- Employee groups
- Employee master creation
- Pay heads
- Salary structure
- Attendance and production
- Salary processing
- Payroll vouchers
- Payslips
- Payroll reports
Module 9: Financial Reports & Analysis
- Trial Balance
- Profit & Loss Account
- Balance Sheet
- Day Book
- Cash Book
- Bank Book
- Ledger reports
- Outstanding receivables and payables
- Stock Summary
- Ratio Analysis
- Cost Centre and Cost Category
Module 10: Advanced TallyPrime & Practical Project
- Cost Centres
- Budgets and controls
- Interest calculation
- Multiple currencies
- Security and user access
- Data backup and restore
- Exporting and importing data
- Printing reports and invoices
- TallyPrime data management
- Practical accounting project
Practical Projects
- Create a company in TallyPrime
- Create groups and ledgers
- Enter purchase and sales transactions
- Manage inventory and stock
- Record GST transactions
- Prepare bank reconciliation
- Process employee payroll
- Generate financial statements
- Generate GST reports
- Final Project: Complete accounting and inventory management for a sample business
Course Outcome
After completing the course, learners will be able to create and manage company accounts, record accounting transactions, handle inventory, process GST and payroll, perform banking operations, and generate financial reports using TallyPrime.