What you'll learn
Master Tally Prime with GST through practical, job-oriented training designed for students, accounting professionals, business owners, and aspiring accountants. Learn computerized accounting from basic to advanced levels, including company creation, ledger management, vouchers, inventory, GST configuration and returns, banking, payroll, taxation, financial reports, and real-world accounting transactions.
This course focuses on practical skills, accuracy, and industry-relevant accounting workflows to help learners confidently manage day-to-day accounting and GST-related activities using Tally Prime.
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Course Syllabus
Module 1: Accounting Fundamentals
- Basics of Accounting & Bookkeeping
- Accounting Principles & Concepts
- Debit, Credit & Golden Rules
- Journal Entries
- Ledger & Trial Balance
- Profit & Loss Account
- Balance Sheet
Module 2: Tally Prime Basics
- Introduction to Tally Prime
- Company Creation & Configuration
- Security & User Management
- Groups & Ledgers
- Voucher Types
- Accounting & Inventory Settings
Module 3: Practical Accounting in Tally Prime
- Contra, Payment & Receipt Vouchers
- Sales & Purchase Vouchers
- Journal & Debit/Credit Notes
- Bill-wise Details
- Cost Centres & Cost Categories
- Bank Reconciliation
- Outstanding Receivables & Payables
Module 4: Inventory Management
- Stock Groups & Stock Categories
- Stock Items & Units of Measure
- Godowns/Locations
- Purchase & Sales Inventory
- Stock Transfer
- Physical Stock & Inventory Reports
Module 5: GST in Tally Prime
- Introduction to GST
- GST Registration Concepts
- GST Configuration in Tally Prime
- CGST, SGST, IGST & UTGST
- GST Tax Ledgers
- GST Sales & Purchase Transactions
- GST Credit/Debit Notes
- GST Reports & Reconciliation
- GST Return Concepts and Practical Workflow
Module 6: Advanced Tally Prime
- Cost Centre & Cost Category
- Budgets & Scenarios
- Interest Calculation
- Multi-Currency
- Order Processing
- Job Work
- Manufacturing Basics
- Payroll Basics
- Salary & Employee Management
Module 7: Banking & Compliance
- Bank Reconciliation Statement (BRS)
- Cheque Management
- Payment & Collection Tracking
- TDS/TCS Concepts
- Tax Deducted at Source Transactions
- Compliance-oriented Accounting Practices
Module 8: Reports & Business Analysis
- Day Book
- Trial Balance
- Profit & Loss
- Balance Sheet
- Cash Flow & Fund Flow
- Receivables & Payables
- Stock Reports
- GST Reports
- Financial Analysis & MIS Reports
Module 9: Practical Project
- Complete Company Setup
- Realistic Purchase & Sales Transactions
- GST Transactions
- Banking Transactions
- Inventory Management
- Ledger & Financial Reports
- GST Reconciliation Practice
- Final Accounts & Practical Accounting Project
Outcome: Learners will develop practical, job-ready skills in Tally Prime, GST, accounting, inventory, banking, taxation, and financial reporting.