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https://help.tallysolutions.com/docs/te9rel49/02_CREATING_MASTERS_IN_TALLY/01_Accounts_Information/Ledgers_Groups/Creating_a_Bank_Ledger.htm

Creating a Bank Ledger

 

In Tally.ERP 9, bank ledgers have to be created under the group Bank Accounts/Bank OCC Account/Bank OD Account. All required configurations for Cheque Register, Cheque Printing, Bank Reconciliation have to be made in the ledger master only.

To create a bank ledger, follow the steps shown:

Go to Gateway of Tally > Accounts Info. > Ledgers > Create

In the Ledger Creation that screen appears,

  1. Enter the name of the bank, for which a Bank ledger needs to be created, in the Name field.

  2. Three types of Bank Accounts are supported in Tally.ERP 9 - Saving Account (Bank Account), Over Draft account ( Bank OD), Cash Credit account (Bank OCC). In the field Under , select Bank Accounts/Bank OCC/Bank OD from the List of Groups displayed.

  3. The Books Beginning date is pre-filled in Effective Date for Reconciliation field.

  4. Enable the option Set/Alter Bank Details to Yes. The Bank Details screen appears.

In the Banking Configuration screen provide details as given below:

    • In the Select your Bank? field, choose Kotak Mahindra from the List of Banks displayed

Note: The List of Banks get displayed only when there is active Tally.NET subscription and internet connectivity.

General Configuration

    • Set the option Set Cheque Books to Yes. The configure Cheque Book Management screen appears. Enter details of the Cheque Range as shown below:

    • Enable the option Set Cheque Printing Configuration? to configure Cheque Printing

Note: In case where the cheque printing feature is not enabled in F11: Accounting Features the error message - Enable Cheque Printing from F11 Accounting Features will be displayed while setting the option - Set/Alter Cheque Printing Configuration to Yes in the bank ledger master.

Bank Specific Configuration

    • Activate Auto Reconciliation: Enable this option to reconcile the bank accounts by importing the bank statements.

    • Alter Location of Bank Statement Files: Enabling this option, opens the Location of Bank Statements screen. Specify the path for New Bank Statements and Imported Bank Statements

 

Account Information

  • A/c No.: Enter Bank Account Number in this field

  • A/c Holder Name: Enter the name of the account holder in this field

  • Branch Name: Enter the bank branch name in this field

  • BSR Code:  Enter BSR Code of the branch in this field.  Basic Statistical Returns (BSR) code is a 7 digit number allotted by Reserve Bank of India (RBI) to a bank branch

  • IFS Code: Enter the IFSC code of the branch in this field. Indian Financial System Code (IFS Code), is a 11 character code assigned by the Reserve Bank of India (RBI) to a bank branch

  • Client Code: Enter the code assigned to you by the Bank.

The completed Bank Details screen is as shown below:

  1. Press Enter to go to the Ledger Creation screen

  2. Enter Name, Address, State and Pin Code in the Mailing Details section

Note: To display the Mailing details section in the Bank Ledger Creation screen, enable the option Use ADDRESSES for Ledger Accounts by pressing F12 key or by clicking the F12: Configure button.

The completed Bank Ledger Creation is displayed as shown:

  1. Press Enter or Y to accept

Note: The button B: Set Cheque Books in the Ledger Alteration screen can be  clicked to open the Cheque Book Management screen

The button S: Set Cheque Printing in the Voucher Alteration screen can be clicked to open the Cheque Format Selection screen