सोमवार, 6 मई 2019

PGDCA MODULE TALLY

  1. PGDCA II SEM
    TALLY
    UNIT –I

    1.     Basic concept of accounting
    2.     Financial statements
    3.     Financial statements analysis
    4.     Cost centre
    5.     Basic concept of Inventory
    6.     Tally configuration & INI setup
    7.     Data directory and folder configuration
    8.     Single and Multiple user
    9.     Tally Screen component
    a.     Mouse keyboard convention and key combinations
    b.     Switch between screen area
    c.     Quitting tally
    10.       Maintain company data
    a.     Basic details of company
    b.     Create a company
    c.     Select a company
    d.     Load a company
    e.     Close a company
    11.      Chart of accounts
    12.      Company features and configuration

     UNIT –II

    1.     Group and Ledger
    a.     Create group and ledger
    b.     Alter group and ledger
    c.     Display group and ledger
    2.     Accounting Vouchers
    a.     All types of accounting vouchers
    b.     Accounting voucher transaction
    c.     Accounting Invoice transaction
    d.     Excise Invoice
    e.     Export Invoice
    f.       Transaction using bill wise details
    3.     Bank Reconciliation
    4.     Interest calculation using simple and advance parameters
    5.     Interest calculation on outstanding balance & on invoice
    6.     Use of voucher class
    7.     Adjustment of interest
    8.     Creating of voucher class
    9.     Invoice entry in a class situation
    10.      Budget for Groups, Ledgers and Cost Centrex
    a.     Create Budget for Groups, Ledgers and Cost Centrex
    b.     Alter Budget for Groups, Ledgers and Cost Centrex
    c.     Delete Budget for Groups, Ledgers and Cost Centrex
    d.     Define credit limit and credit period
    e.     Display budgets and variances
    11.      Create, Alter and Delete a scenario
    12.       Journal Transaction
    13.      Payment Voucher
    14.      Go down summary

    UNIT –III

    1.     Reports
    a.     Balance Sheet
    b.     Profit & Loss Account
    c.     Ratio Analysis
    d.     Trial Balance
    e.     Accounts Books Like Cash Book and Bank Book
    f.       All Ledger and Group Summary
    g.     Vouchers, Sale, Purchase & Journal Register
    2.     Report Part – 2
    a.     Cost Centre and Cost Summary
    b.     Cost Centre Breakup Ledger & Group Breakup
    c.      Outstanding Receivable and payable
    d.     Interest Receivable and payable
    e.     Statistics, Cash Flow, Fund Flow
    f.       Day Book, List of Accounts
    g.     Reversing Journal
    h.    Optional vouchers
    i.       Post dated vouchers

    UNIT –IV

    1.     Stock group and Stock items
    a.     Create Stock group and Stock items
    b.     Alter Stock group and Stock items
    c.     Display Stock group and Stock items
    2.     Inventory Voucher types and transaction
    3.     Inventory details in accounting vouchers
    4.     Report Part-3
    a.     Stock summary
    b.     Inventory book like stock items
    c.     Group summary
    d.     Stock transfer
    e.     Physical stock register
    f.       Movement analysis
    g.     Stock group and item analysis
    h.    Stock category analysis
    i.       Ageing analysis
    j.       Sale Order and Purchase order book
    k.     Statement of inventory related to Go – Down
    l.       Stock Query, reorder status,
    m.  Purchase and sale order summary
    n.    Purchase and sale bill pending
    5.     Exceptions Report – 4
    a.     Negative stock & Ledger
    b.     Overdue receivables and payables
    c.     Memorandum vouchers
    d.     Optional vouchers
    e.     Post dated vouchers
    f.       Reversing Journal
       
    UNIT –V

    1.     Print
    a.     Cheque Printing
    b.     Common printing options
    c.     Different printing formats
    d.     Multiple accounts printing
    e.     Dynamic reports specific options
    2.     Create group companies
    3.     Use of tally volt
    4.     Using security control defining deferent security levels
    5.     Use of tally audit
    6.     Back-up and restore
    7.     Splitting company data
    8.     Export and import data
    9.     ODBC compliance
    10.   Use of email
    11.   Internet publish
    12.   Upload
    13.   Web browser and online help
    14.   Re-write data





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