Maintain bill-wise details


Maintain bill-wise details

Bill wise Accounting:

Enable this option to display the option Maintain balances bill by bill in all ledgers created under sundry debtors and creditors. Where we enter the details of sales and purchases with the bill wise option activated, Tally.ERP 9 prompts us to identify the invoice with an appropriate reference number.

Types of Bill wise details in Tally. ERP 9

There are four types of bill wise detail.

New Reference
This is used at the time of passing sales and purchase entries which will later serve for Against reference entries to be passed under Sundry debtors and creditors ledger.
Against Reference
This reference is used when we pass receipt entries or payment entries against the references created at the time of passing of original entries such as sales and purchase.
Advance
This reference is used when any amount is received in
 advance for any services rendered or for any outward supplies of goods is made or when any amount is paid
 in advance for purchases to be made at the future
date. In other words, this type of bill wise detail is maintained where the nature of service or nature of product or terms of business demands advance receipts/ advance payments to be made and to track these when the business gets materialized at the time of raising of bill or invoice, these entries would serve as reference.
On Account
An interest receipt entry, interest payment entries uses these types of references. But apart from these, this type of reference is also used when we are unsure of as of against which bill the sum has been settled by the debtor.
So, all those types of entries are kept under this reference till the time it gets cleared as to which Invoice the sum relates to.


Benefits of maintaining Bill wise details in Tally.ERP 9
To easily maintain/generate outstanding reports of Receivables and Payables
To maintain & track Accounts Receivable and Accounts Payable based on every bill
The primary benefit of this capability is the speed and ease which is enabled by Tally.ERP 9
Helps in generating Age wise analysis report for receivables and payables
How to activate Bill wise Accounting in Tally.ERP 9?
It just takes few steps to activate this feature in Tally.ERP 9
Step 1:
To set Maintain Bill wise Details to Yes in F11 : Accounting Features window
Step 2 :
To create a Party (Ledger A/c) under Sundry Debtors / Sundry Creditors group
Step 3 :
To set maintain balances bill by bill to Yes for the parties during ledger creation
Step 4 :
From Gateway of Tally > Accounting Vouchers > Sales (F8) or Purchase (F9) accordingly and enter the transaction by specifying a Bill reference No. along with due dates for the amount to be received or paid in the Bill Allocations for screen (we can also break up the amount into multiple reference numbers with different due dates)

To generate various types of Bill wise summary report in Tally.ERP 9

Generally to view Receivables / Payables Reports, we have to proceed to Gateway of Tally > Display > Statement of Accounts > Outstandings > Receivables (to view due to the company). This report displays bill by bill outstanding for all the parties with the pending amount along with the due date.

Report Type
Description
Individual party wise – Bill wise outstanding
Select Ledger in the Outstandings menu
We will now get a report displaying bill-by-bill details of all outstandings for the concerned party along with the total outstanding amount
Group Outstanding report – Bill wise outstanding
To View Group Outstanding Report, select Group in the Outstandings menu and then select the specific group or sub group
Ageing analysis report – Bill wise outstanding
We can also view Ageing Analysis of Outstandings, by defining various ranges of periods and view outstanding across the specified time slabs
Such as 0 to 30 days, 30 to 45 days and 45 to 75 days and so on
To View Ageing Analysis Report , go to Gateway of Tally  > Display  > Outstandings  > Receivables or Payables
Select F6 (Age wise)
Specify Ageing Methods and the Periods

Bill wise accounting for Non – Trading accounts
Maintaining details of every bill for trading accounts is possible in Tally.ERP 9 using Bill wise Details. The same powerful and convenient feature is available for tracking and managing non- trading accounts like Loans, Advances and Installment Payments etc. as well.
Using this feature, business owners can easily track bills for expenses, any installments to be paid or loan amounts to be received. ‘Bill wise Details’ hence can be used to track the details of any already made or due payments and also to generate payables or receivables reports with minimum effort.
How to activate:
Go to Gateway of Tally > Press - F11: Accounting Features > Set ‘Yes’ to ‘Maintain Bill wise Details (for Non-Trading A/c s also).





इन्हें भी अवश्य पढ़े |

10.     Creating A Ledger
11.     Company Info.
12.     Create Company
15.     Features Of Tally
16.     Chart Of Accounts
18.     Narration
19.     Voucher Entry
20.     Types Of Voucher
24.     Petty Cash Book
25.     Entries Under GST
26.     Currency
32.     Ratio Analysis
33.     Split Company Data
42.     Bank Transfer
43.     Payroll Voucher
44.     Payroll Info.
47.     Create Cost Center
49.     Inventory Vouchers


Post a Comment

0 Comments