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प्रश्न
Record the following transactions in Tally.
- Devi commenced a business with a capital of ₹ 4,00,000
- An account was opened with Indian Bank and deposited ₹ 60,000
- Purchased furniture by paying cash ₹ 15,000
- Goods purchased on credit from Sumathy for ₹ 50,000
- Cash sales made for ₹ 10,000
- Goods purchased from Raja for ₹ 5,000 and paid by cheque
- Goods sold to Arun on credit for ₹ 70,000
- Money is withdrawn from bank for office use ₹ 25,000
- Part-payment of ₹ 30,000 made to Sumathy by cheque
- Arun made part payment of ₹ 10,000 by cash
- Salaries paid to staff through ECS ₹ 36,000
- Carriage on purchases of ₹ 6,000 paid by cash
- Purchased computer from Muthu Ltd. on credit ₹ 44000.
उत्तर
S.No | Particulars | Debit Rs. | Credit Rs. | Voucher type | Group |
1 | Cash A/c Dr. | 4,00,000 | Receipt | Cash in hand | |
To Devi's capital A/c | 4,00,000 | Voucher | Capital A/c | ||
2 | Indian Bank A/c Dr. | 60,000 | contra | Bank A/c | |
To Cash A/c | 60,000 | Voucher | Cash in hand | ||
3 | Furniture A/c Dr. | 15,000 | Payment | Fixed Assets | |
To Cash A/c | 15,000 | Voucher | Cash in hand | ||
4 | Purchases A/c Dr. | 50,000 | Purchase | Purchases A/c | |
To Sumathi's A/c | 50,000 | Voucher | Sundry crsA/c | ||
5 | Cash A/c Dr. | 10,000 | Receipt | Cash-in-hand | |
To Sales A/c | 10,000 | Voucher | Sales A/c | ||
6 | Purchases A/c Dr. | 5,000 | Purchase | Purchases A/c | |
To Bank A/c | 5,000 | Voucher | Bank A/c | ||
7 | Arun's A/c Dr. | 70,000 | Sales | Sundry Debtors | |
To Sales A/c | 70,000 | Voucher | Sales Account | ||
8 | Cash A/c Dr. | 25,000 | Contra | Cash in hand | |
To Bank A/c | 25,000 | Voucher | Bank A/c | ||
9 | Sumathi's A/c Dr. | 30,000 | Payment | Sundry Creditors | |
To Bank A/c | 30,000 | Voucher | Bank A/c | ||
10 | Cash A/c Dr. | 10,000 | Receipt | Cash in hand | |
To Arun's A/c | 10,000 | Voucher | Sundry Debtors | ||
11 | Salaries A/c Dr. | 36,000 | Payment | Indirect Expenses | |
To Bank A/c | 36,000 | Voucher | Bank A/c | ||
12 | Carriage on purchase A/c Dr. | 6,000 | Payment | Direct Expenses | |
To Cash A/c | 6,000 | Voucher | Cash in hand | ||
13 | Computer A/c Dr. | 44,000 | Payment | Fixed Assets | |
To Muthu Ltd A/c | 44,000 | Voucher | Sundry Creditors A/c |
Following Steps are to be followed to enter the transactions in Tally ERP 9-
- To Create Company:
Company Info > Create Company
Type the Name as Devi and keep all other fields as they are and choose. “Yes” to accept - To maintain accounts only:
Gateway of Tally > Fll Accounting Features > General > Maintain Accounts only: Yes > Accept Yes - To Create Ledger Accounts:
Gateway of Tally > Masters > Accounts Info > Ledgers > Single Ledger > Create
- To Create Devi’s Capital A/c
Name: Devi’s Capital A/c
Under: Capital Account
Accept: Yes - To Create Indian Bank A/c
Name: Indian Bank A/c
Under: Bank Accounts
Accept: Yes - To Create Furniture A/c
Name: Furniture A/c
Under: Fixed Assets
Accept: Yes - To Create Purchases A/c
Name: Purchases A/c
Under: Purchase
Accept: Yes - To Create Sumathy A/c
Name: Sumathy A/c
Under: Sundry Creditors
Accept: Yes - To Create Sales A/c
Name: Sales A/c
Under: Sales Account
Accept: Yes - To Create Aran A/c
Name: Aran A/c
Under: Debtors A/c
Accept: Yes - To Create Salaries A/c
Name: Salaries A/c
Under: Indirect Expenses
Accept: Yes - To Create Carriage A/c
Name: Carriage A/c
Under: Direct Expenses
Accept: Yes - To Create Computer A/c
Name: Computer A/c
Under: Assets A/c
Accept: Yes - To Create Muthu Ltd A/c
Name: Muthu Ltd A/c
Under: Sundry Creditors
Accept: Yes
To enter transactions through vouchers-
Gateway of Tally > Transaction > Accounting vouchers
- Devi commenced a business with a capital of Rs.4,00,000
F6: Receipt Voucher Accounts: Cash
Particulars: Devi’s Capital A/c (Choose from List of Ledger Accounts)
Enter the Amount of Capital of Rs. 4,00,000
Narration: Capital introduced.
Accept: Yes - An Account was opened with Indian Bank and deposited Rs. 60,000
F4: Contra Voucher Accounts: Indian Bank
Particulars: Cash
Amount: Rs. 30,000
Narration: Opened Bank Account in Indian Bank
Accept: Yes -
Purchased furniture by paying cash Rs. 15,000
F5: Payment Voucher Account: Cash
Particulars: Furniture A/c
Amount: Rs. 15,000
Narration: Furniture bought by cash
Accept: Yes -
Goods purchased on credit from Sumathy for Rs. 50,000
F9: Purchase Voucher Party’ A/c,
Name: Sumathy A/c
Particulars: Purchase A/c
Amount: Rs. 50,000
Narration: Goods purchased on credit from Sumathy
Accept: Yes -
Cash Sales made for Rs. 10,000
F8: Sales Voucher Account: Cash
Particulars: Sales A/c
Amount: Rs. 10,000
Narration: Cash Sales made
Accept: Yes -
Goods purchased from Raja Rs. 5,000 and paid by Cheque
F9: Purchase Voucher
Account: Bank
Particulars: Purchase A/c
Amount: Rs. 5,000
Narration: (Bank) Purchase by cheque -
Goods sold to Arun on credit for Rs. 70,000
F8: Sales Voucher Party A/c
Name: Arun A/c
Amount: Rs. 70,000
Narration: Goods sold on credit to Arun
Accept: Yes -
Money withdrawn from bank for office use Rs. 25,000
F4: Contra Voucher
Account: Cash
Particulars: Indian Bank
Amount: Rs. 25,000
Narration: Cash withdrawn from bank
Accept: Yes -
Part Payment of Rs. 30,000 to Sumathy by Cheque
F5: Payment Voucher Account: Indian Bank
Particulars: Sumathy A/c
Amount: Rs. 30,000
Narration: Payment made to Sumathy by Cheque
Accept: Yes -
Salaries paid to staff through ECS Rs. 36,000
F5: Payment Voucher
Account: Indian Bank
Particulars: Salaries A/c
Amount: Rs. 36,000
Narration: Salaries paid through ECS
Accept: Yes -
Carriage of Rs. 6,000 paid by cash
F5: Payment Voucher Account:
Cash
Particulars: Carriage A/c
Amount: Rs. 6,000
Narration: Carriage paid by Cash
Accept: Yes -
Purchase computer from Muthu Ltd. on credit Rs. 44,000
F7: Journal Voucher
Particulars: Computer Amount Rs. 44,000 To Muthu Ltd Amount: Rs. 44,000
Narration: Computer bought on credit from Muthu Ltd.
Accept: Yes
To view reports:
- To view Trial Balance
Gateway of Tally > Reports > Display > Trial Balance > Alt FI (detailed) - To view Profit and Loss Account
F10: A/c Reports > Profit and Loss A/c > Alt FI (detailed) (or)
Gateway of Tally > Reports > Profit and Loss A/c Alt FI (detailed) - To view Balance Sheet
F10: A/c Reports > Balance Sheet > Alt FI (detailed) (or)
Gateway of Tally > Reports > Balance Sheet > Alt FI (detailed) - To view Ratio Analysis
F10: A/c Reports > Ratio Analysis (or)
Gateway of Tally > Reports > Ratio Analysis - To view Day Book
F10: A/c Reports > Day Book> Alt FI (detailed) (or)
Gateway of Tally > Reports > Display > Day Book > Alt FI (detailed).
APPEARS IN
संबंधित प्रश्न
Explain how to view profit and loss statement in Tally.ERP 9.
The following balance sheet has been prepared from the books of pearl on 1-4-2018,
Liabilities | ₹ | Assets | ₹ |
Capital | 1,60,000 | Buildings | 40,000 |
Sundry creditors: | Furniture | 20,000 | |
Maya A/c | 20,000 | Stock | 10,000 |
Sundry debtors | |||
Peter | 20,000 | ||
Cash in hand | 30,000 | ||
Cash at bank | 60,000 | ||
1,80,000 | 1,80,000 |
During the year the following transactions took place.
- Wages paid by cash ₹ 4,000
- Salaries paid by cheque ₹ 10,000
- Cash purchases made for ₹ 4,000
- Good purchased on credit from Yazhini ₹ 30,000
- Goods sold on credit to Jothi ₹ 40,000
- Payment made to Yazhini through NEFT ₹ 6,000
- Cash received from Peter ₹ 10,000
- Cash sales made for ₹ 4,000
- Depreciate buildings at 20%
- Closing stock on 31.03.2013 ₹ 9,000
You are required to prepare trading and profit and loss account for the year ended 31-03-2019 and balance sheet as on that using Tally.