Type search words and press enter
A new GSTR-2B API is applicable from 14th Nov 2024, which affects auto-reconciliation of GSTR-2B for Oct-24. Stay tuned for our upcoming release, TallyPrime 5.1, which supports this and makes reconciliation even smoother.
https://help.tallysolutions.com/docs/te9rel66/Auditor_Edition/International_Audit/Verification_of_Balances.htm

Verification of Balances (International)

Verification of Balances report will help you check the differences in Opening Balance and Transaction details for a Group/Subgroup/Ledger.

On this page

View the Verification of Balances report

Button options in the Verification of Balances report

View the Verification of Balances report

Go to Gateway of Tally > Analysis & Verification > Data Analysis > Verification of Balances .

The name of the Groups appears on the left side under Particulars. The Opening Balance, Closing Balance, and the Difference for each Group, appears on the right side of the report.

The right side of the screen displays the transactions details along with the Opening Balance and Closing Balance. The Closing Balance amount is highlighted in red when the Closing Balance for the respective Group is against the default Group behavior. For example, if the Current Liabilities Group shows Debit Balance instead if Credit Balance and so on.

Note: Previous Year Period: Not Applicable, displayed below the Analysis Period, will be highlighted in red to indicate that the previous year's company has not been loaded.

From the above report, the user can press Enter on the  required group to drill down into the group level Verification of Balances report:

Button options in the Verification of Balances report

F1 : Detailed : Click F1 : Detailed or press Alt+F1 to view the detailed view to view the details of the Subgroups and Ledgers.

Ctrl+F3: Compare Cmp : Click Ctrl+F3 : Compare Cmp or press Ctrl+F3 to load the company that contains the data for the year prior to the analysis period.

F4: Group : Click F4 : Group or press F4 to view the Verification of Balances report for the selected Group.

Select the required Group from the List of the Groups and press Enter .

F5: Led-wise : To view the Ledger wise report for Verification of Balances click F5 : Led-wise or press F5 .

Ctrl+F9: Master Config : Click Ctrl+F9 : Master Config or press Ctrl+F9 to identify the parties as Related Party , Periodic Payments and Receipts and apply Sampling methods for analysis.

X : Exceptions : Click X : Exceptions or press Alt+X to view the exceptional items only.

Note: The closing balances of all the exceptional items are highlighted in red for the user's attention.

V : Balance Variance : Click V : Balance Variance or press Alt+V to view the Ledger Balance Variance report.

Ctrl+V: Verf of Op.Bal : Click Ctrl+V : Verf of Op.Bal or press Ctrl+V to view Verification of Opening Balances report.

F9: Inv Reports : Click F9 : Inv Reports or press F9 to navigate to the default Inventory Reports.

F10: Acc Reports : Click F10 : Acc Reports or press F10 to navigate to the default Accounting Reports.

F10 : Analysis Reports : Click F10 : Analysis Reports or press Alt+F10 to navigate to the other Analysis Reports.

F12: Configure : Click F12 : Configure or F12 to change the default display for the Verification of Balances report.

Sorting Method :  Select the required Sorting Method from Default, Alphabetical (Decreasing), Alphabetical (Increasing), Amount-wise (Decreasing) and Amount wise (Increasing) for the Group names. For detailed explanation of each option in the above screen, refer to F12: Configuration in Trial Balance report.

Drill down to Ledger Vouchers report is provided from the above report by keep pressing Enter on the group name or a subgroup name and then ledger name.

See also

Verification of Balances

Verification of Balances for Group

Verification of Opening Balances

Ledger Balance Variance

Negative Cash Variance