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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/te9rel60/Advanced_Features/Advanced_Accounting_Features/creating_budgets_for_ledgers.htm

Creating Budgets for Ledgers

On enabling budgets, the option to create Budgets is available in the Accounts Info. menu. Budgets can be created for specific ledger accounts created.

To create budgets for ledgers

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

2.    In the Budget Creation screen, enter a name for your budget.  

3.    In the Under field, select the required budget from the List of Budgets. By default, Primary is selected from the List of Budgets. Sub-budgets can be created under primary budgets.

4.    Enter the period of the budget in the From and To fields.

5.    In Set/Alter Budgets of, enter Y in the Ledgers field to view the Ledger Budget screen.

6.    Press Space bar to open List of Ledgers.

7.    Select the required ledger.

8.    Select the required Type of Budget.

Note: Select On Nett Transactions to monitor the transaction amounts and not the balances. Nett is net of debits and credits for the specified period. Nett transactions Budgets specified for a period automatically gets apportioned over the period. i.e., When On Nett transactions Budgets are defined, the debit amount for the specified period after reducing the credits for the same period is considered without taking into account opening and closing balances. For example to compare transactions against budgets, especially revenue income and expenses On Nett Transactions can be selected.

Select On Closing Balance to  monitor the balances of the Accounts and the not the transactions. i.e., each month will have the same budget value except that the actual Opening Balance is also taken into account. Budgets on Closing balances can be set for Bank Account Ledgers, Debtors Ledger balances and so on. For example to compare closing balance figures in final statements, especially Balance Sheet items like assets and liabilities, select Closing Balances.

9.    Enter the budget amount in the Amount field.

10.  Press Enter to save.

See Also:

Creating budgets for groups

Creating budgets for cost centres

Altering a budget

Deleting a budget

Viewing Budget Variance