📘 Experiment No. 10 – SOP 3: Computerized Accounting with GST
In this blog, we will walk through Experiment No. 10 – SOP 3: Computerized Accounting with GST, as prescribed in your practical journal.
Below, you will also find a copy-paste ready section to write directly in your Practical Journal. Make sure you fill in any blank fields such as your name, roll number, and date before submission.
✂️ COPY & PASTE THIS IN YOUR PRACTICAL JOURNAL
(Everything mentioned below can be directly copy-pasted/write in your Journal)
Experiment No. 10
Title: SOP3 - Computerised Accounting with GST
Step 1: Steps to create Company
Select the “Create Company” option from the Company Info Menu.
Enter all the details in company creation form.
On company feature dialog box set Yes to “Enable Goods and Service Tax(GST)” and enter GST details also set Yes to “Set/Alter Company GST rate and other details”
Press Enter key to accept and create the company.
Step 2: Steps to create Ledgers
Gateway of Tally -> Masters -> Create -> Accounting Masters -> Ledger
In the Ledger creation form, enter all the details and select the appropriate Group for the ledger.
Press Enter key to accept and create the Ledger.
By using above steps create following ledgers
Step 3: Steps to create Unit of Measure
Gateway of Tally -> Masters -> Create -> Inventory Masters -> Unit
Enter details under the Unit creation form and create Pieces as a unit.
Step 4: Steps to Create Stock Group
Gateway of Tally -> Masters -> Create -> Inventory Masters -> Stock Group
Enter details under the Stock Item Creation form and create ‘Shirts’ as a Stock group.
Step 5: Steps to Create Stock Item
Gateway of Tally -> Masters -> Create -> Inventory Masters -> Stock Item
Enter details under the Stock Item Creation form and create ‘T Shirts’ as a Stock Item
Step 6: Steps for voucher entry
Gateway of Tally -> Transactions -> Vouchers
Select the appropriate voucher type from the button panel on the right handside.
Select appropriate ledgers under Db/Cr and enter correct values in vouchers.
By using above steps enter the given transactions in appropriate vouchers.
Step 7: Steps to display Reports
Sales Invoice
Gateway of Tally -> Display More Reports -> Day Book -> Sales
GSTR 2
Gateway of Tally -> Display More Reports -> Statutory -> GST Reports -> GST computation
Step 8: Steps to Print Reports
Sales Invoice
Gateway of Tally -> Display More Reports -> Day Book -> Sales -> Ctrl+p
GSTR 2
Gateway of Tally -> Display More Reports -> Statutory -> GST Reports -> GST computation -> Ctrl+p

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