25 Sections
132 Lessons
12 Weeks
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Course 1 : Building Accurate Financial Records using Tally Prime
0
Key Business Questions
3
2.1
How do I record and manage daily transactions accurately in Tally?
2.2
How do I generate real-time Profit & Loss and Balance Sheet reports?
2.3
How do I reconcile bank statements and detect accounting errors?
Basic & Service Accounting
8
3.1
Fundamental of Accounts Rules of Accounts
3.2
Creating/Altering/Deleting Company in Tally Prime
3.3
Group & Ledger Creation in Tally Prime
3.4
Journal Entries in in Tally Prime
3.5
Day Book & Cash/Bank Book
3.6
Trading & P&L Account
3.7
Managing Accounts of Sole Proprietorship & Consultancy Firm
3.8
Trial Balance, Balance Sheet & Reports.
Trading Accounting & Reports
7
4.1
GST in Tally Accounting.
4.2
Inventory Management.
4.3
Purchase & sale Vouchers.
4.4
Creating Stock Group Stock Items, & units.
4.5
Maintaining Stock & Depreciation.
4.6
Inventory Reports.
4.7
Managing Account of Partnership Firm
GST Basics
12
5.1
CGST, SGST, IGST & UTGST.
5.2
Link between the three taxes.
5.3
Composition scheme. HSN code.
5.4
What is input tax credit (ITC).
5.5
How to avail the ITC.
5.6
Electronic ledgers.
5.7
Payment of taxes and taking refunds
5.8
Different types of GST invoices.
5.9
E-way bill.
5.10
Generation of e-way bill.
5.11
Provisions of reverse charge.
5.12
Cases where reverse charge is applicable.
Industrial & Factory Accounting
11
6.1
Managing Account of Different
6.2
Purchase & Sales order.
6.3
Cost Centers & Cost Categories
6.4
Creating Custom Vouchers.
6.5
Godown & Currency Creation
6.6
Bills of Material (BOM).
6.7
Inter-Godwin Transfer
6.8
Creating & Maintain Price-List
6.9
Interest Calculation.
6.10
Maintaining Payroll.
6.11
Security Control.
Advanced Features
17
7.1
Budgeting systems & scenarios.
7.2
Variance Analysis.
7.3
Costing Systems & Cost Classification.
7.4
Ratio Analysis.
7.5
Cash Flow & Fund Flow Statement.
7.6
Ordering Levels of Stock.
7.7
Analyzing and Managing Inventory.
7.8
System Administration and Other Utilities.
7.9
Management Control Systems.
7.10
Multi Rate Tax Invoices in Tally Prime
7.11
Input Service Distributor (ISD)
7.12
Purchase & Sales under Special
7.13
Economic Zone (SEZ)
7.14
Job Work entries
7.15
Composition Scheme Dealer
7.16
Point of Sales
7.17
Payroll Voucher Entry
Industrial Projects
0
Consultancy Firm Project
4
9.1
Recording Transactions for 12 months
9.2
Working with adjustment and Provisional entries
9.3
Rectifying the trail balance for the year.
9.4
preparing the Financial Statements
Advocacy Firm Project
4
10.1
Setting Up the Company and their Clients
10.2
Passing the necessary Journal Entries
10.3
Rectifying the Statements & solving the errors
10.4
Preparing the reports
Computer Trading Project
6
11.1
Setting up the Company
11.2
Setting up the inventories
11.3
Working with Discounts & Free Sales Offer
11.4
Making the price lists for different Consumers
11.5
Billing With GST
11.6
Finalizing the reports
Hardware Parts Trading Project
4
12.1
Setting up the Company & Clients
12.2
Setting up the Inventories
12.3
Preparing GST Returns in tally
12.4
Finalizing the reports
Manufacturing Company Project 1
5
13.1
Managing with Cost Centers & employees
13.2
Working with Purchase & Sale orders, Receipt & delivery Notes for the company.
13.3
Setting up Godowns
13.4
Passing up Manufacturing Entries
13.5
Preparing the Financial Reports
Manufacturing Company Project 2
4
14.1
Working with Job Work in & out entries.
14.2
Working with Payroll
14.3
Working with Point of sales
14.4
working with SEZ entries.
Course 2 : Smart Business Accounting using Zoho Books
0
Key Business Questions
3
16.1
How do I manage online invoicing and automate payment reminders?
16.2
How do I track expenses and monitor business cash flow in real time?
16.3
How do I reconcile bank feeds automatically in Zoho Books?
Introduction To Zoho Books
3
17.1
What is Zoho Books & its uses in business
17.2
Cloud Accounting overview
17.3
Features and benefits of Zoho Books
Company Setup & Configuration
5
18.1
Adding business/company details
18.2
Creating Zoho Books account
18.3
Setting up GST details (India-based)
18.4
Financial year & accounting preferences setup
18.5
Chart of Accounts overview
Master Creation (Core Setup)
5
19.1
Creating Customers & Vendors
19.2
Products & Services setup
19.3
Unit of measurement & pricing
19.4
Tax setup (GST slabs)
19.5
Bank and cash account setup
Sales Module (Receiveables)
6
20.1
Creating Estimates / Quotations
20.2
Sales Orders
20.3
Invoices creation & customization
20.4
Credit Notes
20.5
Customer payments and receipt entry
20.6
Recurring invoices
Purchase Module (Payables)
6
21.1
Vendor Bills entry
21.2
Purchase Orders
21.3
Expenses entry
21.4
Vendor payments
21.5
Recurring bills
21.6
Debit Notes
Banking & Reconciliation
4
22.1
Bank account linking (overview)
22.2
Manual bank entry & import statement
22.3
Bank reconciliation process
22.4
Bank rules and automation
GST & Taxation In Zoho Books
4
23.1
GST setup and tax configuration
23.2
GST applied on sales and purchase
23.3
GST reports
23.4
HSN/SAC codes usage
Inventory & Stock Management
4
24.1
Stock tracking features
24.2
Inventory valuation method
24.3
Stock adjustments
24.4
Low stock alerts
Reports & Financial Statements
7
25.1
Balance Sheet
25.2
Profit & Loss statement
25.3
Cash Flow Statement
25.4
Trial Balance
25.5
Receivables & Payables reports
25.6
Sales and Purchase reports
25.7
GST and tax summary reports
Advanced Computer Accounting with GST & Zoho Books
Curriculum
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