Type search words and press enter
GSTR-1 upload is now as easy as 1-2-3! Upload your returns on the GST portal right here from TallyPrime. Don't worry about opening the portal or doing any other manual activity.
https://help.tallysolutions.com/docs/te9rel51/Tax_India/Excise_Importer/Creating_Party_Ledgers.htm

Party Ledger

 To create a supplier ledger

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

    2. Enter the Name of the supplier ledger

    3. Select Sundry Creditors from the List of Groups.

    4. Set Maintain balances bill-by-bill to Yes.

    5. Enter the Default credit period, if any.

    6. Set Check for credit days during voucher entry to Yes, if required.

    7. Enter the Mailing Details.

    8. Select the Country to which the supplier belongs. The application will infer the nature of removal based on the country selected.  

    9. Select the State, if applicable.

    10. Enter the bank details if required.

    11. Enter the PAN.

    12. Enable the option Set/Alter Excise Details to enter the excise details.

    13. Enable the option Set/Alter VAT Details, if required.

    14. Press Enter and enter the opening balance, if any.

    15. Press Enter.

The completed supplier ledger appears as shown below:

  1. Press Enter to save.

To create a customer ledger

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

  2. Enter the Name of the customer ledger

  3. Select Sundry Debtors from the List of Groups.

  4. Set Maintain balances bill-by-bill to Yes.

  5. Enter the Default Credit Period, if any.

  6. Set Check for credit days during voucher entry to Yes, if required.

  7. Enter the Mailing Details.

  8. Select the Country to which the supplier belongs. The application will infer the nature of removal based on the country selected.  

  9. Select the State, if applicable.

  10. Enter the PIN Code, if applicable.

  11. Enter the bank details if required.

  12. Enter the PAN.

  13. Enable the option Set/Alter Excise Details to enter the excise details.

  14. Enable the option Set/Alter VAT Details, if required.

  15. Press Enter and enter the opening balance, if any.

  16. Press Enter.

The completed customer ledger appears as shown below:

  1. Press Enter to save.