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https://help.tallysolutions.com/docs/te9rel49/Statutory_Audit/Auditing_of_Vouchers.htm

Auditing of Vouchers

Go to Gateway of Tally > Audit & Compliance > Audit & Analysis > Verification of Vouchers

  • Select the required Voucher Type and press Enter

  • Select the required Month from Voucher Monthly Register and press Enter

  • Select the required transaction that needs to be Audited using Spacebar key

Note: You can also select Multiple transactions using the Spacebar key one by one on each transaction or you can select all transactions using Ctrl+Spacebar keys.

  • Click on F9: Audit or press Alt+F9 to Audit

  • In the Audit Details screen,

    • Select the required Audit Status from list of Audit Status

Audit Status:

 

On Hold: This option can be selected to mark a transaction which needs clarification or further enquiry with in the audit team.

 

Audited: This option can be selected to mark a transactions as Audit completed.

 

External Clarification: This option can be selected to request for further clarifications from the client incase the information available in the Voucher or entries is not clear or is incomplete.

 

Internal Observation: This option can be selected when the Auditor is not sure of the Audit Status and want to decide later or if the transaction is kept aside for seniors help.

  • Enter the required remarks in the Verification Note

  • By default, the option Copy Audit Details to Audit Working Paper will be set to Yes. Once the Verification Details are saved, the details will be captured in Audit Working Paper.

Note: The option Copy Audit Details to Audit Working Paper will be displayed in Audit Details screen only when the Audit Working Paper is enabled in F11: Features (Audit Features)

  • Press Enter to go back to Voucher Register screen.

The Ledger Vouchers screen with saved Audit Details will appear as shown: