
List of TallyPrime Course Topics and syllabus
Basic Financial Accounting Concepts
Fundamental Accounting Module
- Introduction to Accounting Concepts
- Types of Accounts and Golden Rules
- Double Entry System Explained
- Journal Entries and Practical Examples
- Ledger Posting Process
- Trial Balance Preparation
- Rectification of Errors
- Capital and Revenue Transactions
- Depreciation Methods Overview
- Financial Year and Accounting Period Setup
- Understanding Assets and Liabilities
- Income and Expense Classification
- Bank Reconciliation Concept
- Bills of Exchange Basics
- Accounting Standards Overview
Company Creation and Configuration
- Creating a Company in Tally Prime
- Altering and Deleting Company Data
- Company Features Activation
- Statutory and Taxation Settings
- Security Control Setup
- User Roles and Permissions
- Data Backup and Restore
- Company Split Process
- Multi-Company Management
- Data Synchronization Overview
- F11 Features Configuration
- F12 Configuration Settings
- Tally Vault Password Security
- Company Logo and Invoice Customization
- Audit Trail Activation
Masters Creation – Ledger, Groups, and Inventory Structure
- Creation of Groups
- Creation of Ledgers
- Multi-Ledger Creation
- Cost Categories Setup
- Cost Centers Creation
- Stock Groups Creation
- Stock Categories Creation
- Units of Measure Setup
- Godown Creation
- Stock Items Creation
- Batch-wise Inventory Setup
- Price List Configuration
- Voucher Types Creation
- Currency Creation (Multi-Currency)
- Interest Calculation Setup
Voucher Entry
- Contra Voucher Entry
- Payment Voucher Entry
- Receipt Voucher Entry
- Journal Voucher Entry
- Sales Voucher Entry
- Purchase Voucher Entry
- Debit Note and Credit Note
- Purchase Order Entry
- Sales Order Entry
- Delivery Note Entry
- Receipt Note Entry
- Rejections In and Out
- Stock Journal Entry
- Physical Stock Verification
- Memorandum Voucher
- Optional Voucher Handling
- Post-Dated Voucher Entry
- Voucher Class Configuration
- Invoice Printing and Customization
- E-Way Bill Generation
GST and Taxation Module
- GST Concept and Structure
- GST Registration Setup
- GST Ledger Creation
- Input Tax Credit Calculation
- Output Tax Liability Calculation
- Reverse Charge Mechanism
- GST Returns – GSTR-1
- GST Returns – GSTR-3B
- HSN and SAC Code Setup
- E-Invoicing Configuration
- TDS Setup
- TCS Configuration
- Interest and Penalty Calculation
- GST Adjustment Entry
- Export and Import Taxation
Inventory and Order Processing
Inventory Management Topics
- Stock Valuation Methods (FIFO, Average)
- Bill of Material Creation
- Manufacturing Journal Entry
- Reorder Level Setup
- Batch Expiry Management
- Barcode Integration Overview
- Multiple Godown Transfers
- Job Work Management
- Sales and Purchase Tracking
- Profitability by Item Report
Banking and Payroll
- Bank Reconciliation Statement
- Cheque Printing Setup
- E-Payment Configuration
- Interest Calculation on Ledger
- Payroll Creation
- Employee Master Creation
- Salary Structure Setup
- PF and ESI Calculation
- Payslip Generation
- Gratuity Calculation
- Loan and Advance Management
- Attendance Tracking
- Payroll Reports
Reporting Analytical and MIS Reports
- Balance Sheet Preparation
- Profit and Loss Account
- Cash Flow Statement
- Fund Flow Statement
- Ratio Analysis
- Cost Center Reports
- Outstanding Receivables Report
- Outstanding Payables Report
- Stock Summary Report
- Day Book Report
- GST Reports
- MIS Dashboard Overview
- Data Export to Excel
- Comparative Financial Statements
- Scenario Management