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Wednesday, 27 December 2017

Verification of Opening Balances in Tally

Verification of Opening Balances in Tally

Effective Date for Bank Reconciliation in Tally

Effective Date for Reconciliation (Bank Accounts only)

This is to be given for accounts falling under the Bank Accounts Group (or Bank OCC a/c). The books beginning date is taken by default. It appears in the Ledger Creation screen as shown below: