Bank Reconciliation at Tally - Erp 9
Bank Reconciliation at Tally - Erp 9
The Select Bank screen displaying the List of Bank appears as shown:
Note :
The Bank Reconciliation screen can also be accessed from Gateway of Tally > Display > Accounts Books > Cash/Bank Books > Select Bank Ledger > Select a month > F5:
Reconcile.
p By default, the screen displays the period range from date specified in the Effective Date for Reconciliation in the Bank ledger master till the date of last entry.
p The Bank Date has be to be provided based on the Instrument Date and not on Voucher Date.
pF2: Period: Allows the user to change the period to display the Bank Reconciliation screen for the specified period.
p S: Set All Dates: Allows the user to specify the bank date to set for all the transactions at once.
p C: Create Voucher: Allows the user to create voucher from the reconciliation screen itself.
pU: Opening BRS: In Tally.ERP 9 Series A Release 3.0 onwards the user may provided opening BRS to the unreconciled transactions using this function
The opening BRS will be used in the following scenarios:
n The BRS feature was used in the middle of the financial year by setting Effective Date of Reconciliation in Bank ledger master in Tally.ERP 9, or
n Accounting was started in Tally.ERP 9 in the middle of the financial year.
n Opening balance of Bank having unreconciled transactions brought forward to
Bank ledger created in Tally.ERP 9, or for other reasons.
In these cases the user had to manually have track of the unreconciled transaction until they are reconciled.
To provide Opening BRS:
n Click U: Opening BRS
n The Opening Bank Allocation screen for the selected Bank is displayed as shown:
n Provide the unreconciled transaction details based on the nature of transactions (Deposit/Withdrawal) as shown
n Provide the date of the realised transactions (the amount reflecting in the bank pass- book) in the Bank Date field provided.
n Save the Bank Reconciliation screen.
p Press Ctrl+Enter on the required transaction row to open the voucher in alteration mode.
p F12: Range: Allows to filter the Bank Reconciliation screen. The user may filter the trans- actions based on the Amount, Bank Date, Date, Favouring Name, etc
shown:
Printing Bank Reconciliation Statement
The user may print the Bank Reconciliation statement for the required Bank.
n Show Forex details also: Set this option to Yes to display the forex details in the report.
n Show Forex Transactions only: Set this option to Yes to display the forex transac- tions only in the report
n Show Reconciled Transactions also: Set this option to Yes to display the reconciled vouchers also in the report.
n Show Payment Favouring/Received From: Set this option to Yes to display the Pay- ment Favouring/Received From details in the report.
n Accept to Print.
Set this option to Yes to display the forex details also in the report.
By default, this option is set to Yes. The cheque printing screen displays only the forex transac- tion
Show Reconciled Transactions also:
Set this option to Yes to display the reconciled transactions also in the Bank Reconciliation screen.
Set this option to Yes to display all the Unreconciled Transactions till the given date, irrespec- tive of the From date set in the Bank Reconciliation Statement
Appearance of Name:
Select the required Display Name Style from the list to display in cheque printing screen
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