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The present book, Computerized Accounting–II, has been designed to provide an in-depth and application-oriented understanding of advanced accounting practices using Tally Prime. This book builds upon the fundamentals of computerized...

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Computerized Accounting-II
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The present book, Computerized Accounting–II, has been designed to provide an in-depth and application-oriented understanding of advanced accounting practices using Tally Prime. This book builds upon the fundamentals of computerized accounting and focuses on the practical implementation of accounting concepts relevant to modern business operations. It aims to bridge the gap between academic learning and professional requirements by integrating conceptual explanations with step-by-step practical procedures.
This book places special emphasis on:
Bill-wise accounting for effective management of receivables and payables.
Recording and adjustment of advances, outstanding bills, and overdue supplies.
Preparation and interpretation of age-wise and outstanding reports.
Inventory management, including stock categories and stock analysis reports.
Banking operations in Tally Prime, such as cheque book configuration, cheque printing, bank reconciliation, and banking transaction types.
Post-Dated Cheques (PDC) management for accurate tracking of future receipts and payments.
A wide range of illustrations and practical problems designed to strengthen analytical ability and hands-on skills.The primary objective of this book is to equip learners with the knowledge and skills required to handle real-world accounting situations confidently and professionally. The content has been presented in a clear, systematic, and learner-friendly manner, making it suitable for undergraduate and postgraduate commerce students, as well as accounting practitioners and educators.

1. Accounts Receivable and Payable Management........7
1.1 Bill-wise Accounts — an Introduction
1.2 Bill-wise Details for Purchases — Bills Payable
1.3 Bill-wise Details for Sales — Bills Receivable
1.4 Maintaining Bill wise details
1.5 Supply against Advances
1.6 Tracking Overdue Supplies
1.7 Stock Category Reports
1.8 Practice Exercise

2. Tally Prime with Banking......................................53
2.1 Cheque Book Configuration in Tally Prime
2.2 Cheque Printing in Tally Prime
2.3 Banking Transaction Types
2.4 Introduction to Post Dated Cheques Management
2.5 Post Dated Cheques Management in Tally Prime
2.6 Applying for Tally Prime License
2.7 Introduction to Bank Reconciliation Process in Tally Prime
2.8 Bank Reconciliation in Tally Prime
2.9 Practice Exercise

3. Tally Prime Printing Configuration........................110
3.1 Update Invoice or Voucher Numbering in Tally Prime
3.2 Setup Logo Printing in Tally Prime
3.3 How to Print Additional Description of Stock Items
3.4 Printing Preferences — Cust Seal and Signature, Jurisdiction, Bank Details, Invoice Status
3.5 Optimize Printing Paper Size
3.6 How to Enable Rate Inclusive of GST Column
3.7 Practice Exercise

References...................................................................................138