CST Form I captures details of interstate transaction recorded in the reporting period.
CST Form I displays transactions where
● The nature of transaction selected is
o Exports
o Sales High Seas
o Interstate Deemed Export
o Interstate Sales - Taxable
o Interstate Sales - Against Form C
o Interstate Consignment Transfer Outward
o Interstate Sales Exempted
o Interstate Sales - E1
o Interstate Sales Exempt- E1
o Interstate Sales - E2
o Interstate Sales - Zero rated
o Interstate Sales Exempt - With Form C
● The VAT TIN number of the party is 11 digits long and does not start with 09.
To export data to CST Form I template
1. Go to Gateway of Tally > Display > Statutory Reports > VAT > Form CST I. The Form CST I report appears.
2. Click E: Export button to display the Export Report screen. Ensure the Form CST template is copied to export location.
3. Press Enter to export data.
The various fields in the excel template are described below:
Field Name |
Description |
FormCSTMainForm |
|
Dealer's Tin |
Displays the VAT Tin number of the dealer filing the returns, as recorded in the TIN field in Company VAT Details screen. |
Assessment Year |
Displays the financial year of the company for which the tax returns are being filed, in YYYY-YYYY format. |
Tax Period |
Displays the tax return period based on the option selected in Periodicity of e-Return field in Company VAT Details screen. The options provided are 1 for yearly, 2 for monthly and 3 for quarterly e-returns. |
Month |
Displays the month for which returns are filed, if monthly is selected as the e-return periodicity. Numbers are displayed from 1 to 12 for each month of the year. In case returns are not filed monthly, 0 is displayed. |
Quarter |
Displays the quarter for which returns are field, if quarterly is selected as the e-return periodicity. The option 1st Quarter is displayed for the period April-June and so on. In case returns are not filed quarterly, 0 is displayed. |
Registration Mark (if any) |
Displays the registration mark of the company, as recorded in the Company VAT Details screen. |
Ex-UP Purchase of VAT Goods (Own A/C) |
Displays the value of all interstate purchases in the reporting period except Schedule IV goods. Further, goods from transactions with Interstate Branch Transfer Inward and Interstate Consignment Transfer Inward as Nature of transaction are also considered. |
Ex-UP Purchase of VAT Goods (Principal A/C) |
Displays the value of interstate purchases on behalf of principal in the reporting period. The purchase value for Schedule IV goods only from transactions with Interstate Branch Transfer Inward and Interstate Consignment Transfer Inward as Nature of transaction and Is Principal Account? option is enabled in Statutory Details screen. |
Any Other Ex-UP Purchase of VAT Goods |
This field is currently left blank. |
Ex-UP Purchase of Non-VAT Goods (Own A/C) |
Displays value of interstate purchase of Schedule IV goods in the reporting period. The purchase value from transactions with Interstate Branch Transfer Inward and Interstate Consignment Transfer Inward as Nature of transaction are not considered in this case. |
Ex-UP Purchase of Non-VAT Goods (Principal A/C) |
Displays value of interstate purchase of Schedule IV goods on behalf of principal in the reporting period. The purchase value for Schedule IV goods only from transactions with Interstate Branch Transfer Inward and Interstate Consignment Transfer Inward as Nature of transaction are considered in this case. |
Any Other Ex-UP Purchase of Non-VAT Goods |
This field is currently left blank. |
Gross Turn Over |
Displays gross assessable value from all interstate sales transactions recorded in the reporting period. |
Sale Outside State [U/S 4] |
This field is currently left blank. |
Sales in the course of Export [U/S 5(1)] |
Displays gross assessable value from sales transactions recorded in the reporting period with Export as Nature of transaction. |
Sales in the course of Import [U/S 5(2)] |
Displays gross assessable value from sales transactions recorded in the reporting period with Sales High Seas as Nature of transaction. |
Sales in the course of Export [U/S 5(3)] |
Displays gross assessable value from sales transactions recorded in the reporting period with Interstate Deemed Export as Nature of transaction. |
Sale within State |
Displays gross assessable value from local sales transactions recorded in the reporting period with Sales Taxable and Sales Exempt as Nature of transaction. |
Goods returned to dealer |
Displays gross assessable value from credit note (interstate sales returns) transactions recorded in the reporting period with Interstate Sales - Taxable, Interstate Sales Exempt - With Form C, Interstate Sales - Against Form C, and Interstate Sales - E1 as Nature of transaction. |
Goods transferred to other place |
Displays gross assessable value from sales transaction recorded in the reporting period for interstate transfer. The transaction with Interstate Branch Transfer Outward and Interstate Consignment Transfer Outward as Nature of transaction are considered in this case. |
GISS Deduction |
Displays auto computed value. |
GISS |
Displays auto computed value based on the difference of value from Gross Turn Over and GISS Deduction. |
Sold Inter-State Trade |
Displays gross assessable value from exempt sales transactions recorded in the reporting period with Interstate Sales Exempt as Nature of transaction. |
Sold Purchase by Document Transfer. |
Displays gross assessable value from sales by transfer of title in the reporting period with Interstate Sales - E1 and Interstate Sales - E2 as Nature of transaction. |
Goods Turn Over |
Displays gross assessable value from sales to SEZ unit in the reporting period. Transactions with Interstate Sales - Zero Rated and SEZ as Type of Exemption selected in the ledger master of the party are considered in this case. |
GISS Total |
Displays auto computed value. |
Net Inter State Sale |
Displays auto computed value. |
ITC Adjustment |
Displays the value of journal voucher recorded to adjust input credit against CST liability in the reporting period. |
Tax Payable |
Displays auto computed value. It is difference between total of column Sales Tax Amount in FormCSTTurnover sheet and ITC Adjustment (immediately above). |
FormCSTTaxPaid |
|
Dealer's TIN |
Displays the VAT Tin number of the dealer filing the returns, as recorded in the TIN field in Company VAT Details screen. |
Assessment Year |
Displays the financial year of the company for which the tax returns are being filed, in YYYY-YYYY format. |
Tax Period |
Displays the tax return period based on the option selected in Periodicity of e-Return field in Company VAT Details screen. The options provided are 1 for yearly, 2 for monthly and 3 for quarterly e-returns. |
Month |
Displays the month for which returns are filed, if monthly is selected as the e-return periodicity. Numbers are displayed from 1 to 12 for each month of the year. In case returns are not filed monthly, 0 is displayed. |
Quarter |
Displays the quarter for which returns are field, if quarterly is selected as the e-return periodicity. The option 1st Quarter is displayed for the period April-June and so on. In case returns are not filed quarterly, 0 is displayed. |
Challan_no |
Displays the challan number used to make CST payments to the department, as recorded in the Instrument No. field in the Stat Payment Details screen of a payment transaction in Tax Payment Reconciliation report. |
Amount |
Display the voucher total of CST payment voucher appearing in Tax Payment Reconciliation report for current period. |
Bank Code |
Displays the 4 digit numeric bank code used to make CST payments to the department, as recorded in the Branch code(remittance) field in the Stat Payment Details screen of a payment transaction in Tax Payment Reconciliation report. |
Branch Name |
Displays the branch name of the bank used to make CST payments to the department, as recorded in the Name of Branch field in the Stat Payment Details screen of a payment transaction in Tax Payment Reconciliation report. |
District |
Displays the name of the district where CST payment is remitted, as recorded in the District Name field in the Stat Payment Details screen of a payment transaction in Tax Payment Reconciliation report. |
Challan Date |
Displays the date of remitting CST payment, as recorded in the Deposit Date field in the Stat Payment Details screen of a payment transaction in Tax payment Reconciliation report. |
FormCSTTurnover |
|
Dealer TIN |
Displays the VAT Tin number of the dealer filing the returns, as recorded in the TIN field in Company VAT Details screen. |
Assessment Year |
Displays the financial year of the company for which the tax returns are being filed, in YYYY-YYYY format. |
Tax Period |
Displays the tax return period based on the option selected in Periodicity of e-Return field in Company VAT Details screen. The options provided are 1 for yearly, 2 for monthly and 3 for quarterly e-returns. |
Month |
Displays the month for which returns are filed, if monthly is selected as the e-return periodicity. Numbers are displayed from 1 to 12 for each month of the year. In case returns are not filed monthly, 0 is displayed. |
Quarter |
Displays the quarter for which returns are field, if quarterly is selected as the e-return periodicity. The option 1st Quarter is displayed for the period April-June and so on. In case returns are not filed quarterly, 0 is displayed. |
VAT/Non-Vat |
Displays whether the goods purchased are VAT goods or Non VAT goods. The option V is displayed for VAT goods and NV for Non VAT goods. |
Commodity code |
Displays the Commodity Code assigned to the item selected in the sales transaction. When there are multiple commodities in a transaction, each one is captured in different row. |
Tax Rate |
Displays the rate of tax applicable on the commodity selected in the interstate sales transaction. The rate for each commodity is displayed in a separate row against the respective commodity code. |
Sale Amount |
Displays the assessable value of the respective commodity in the sales transaction. |
Sale Tax Amount |
Displays the tax amount applicable for respective commodity in the sales transaction. |
1. Go to Gateway of Tally > Display > Statutory Reports > VAT > Form CST I. The Form CST I report appears.
2. Press Ctrl+P to display the Print Report screen.
3. Press Enter to print data.
Field Name |
Description |
1. Assessment Year |
Displays the financial year of the company for which the tax returns are being filed, in YYYY-YYYY format. |
2. Tax Period Ending on |
Displays the last date of tax return period based on the option selected in Periodicity of e-Return field in Company VAT Details screen. |
3. Designation of Assessing Authority |
Displays the designation of assessing authority as recorded in the Status/Designation field in the Company VAT Details screen. |
4. Name of Circle/ Sector |
Displays the circle/sector of reporting as recorded in the Name of Circle/Sector field in the Company VAT Details screen. |
5. Name /Address of the Dealer |
Displays the name and address of the dealer as recorded in the Mailing Name and Address fields of Company Creation screen. |
6. Taxpayer's Identification Number [TIN] |
Displays the VAT TIN number of the dealer filing the returns, as recorded in the TIN field in Company VAT Details screen. |
7. Details of Purchase [in Rs.] |
|
a. Vat Goods |
|
i. Interstate purchase by transfer of documents during movement of goods |
Displays the value of all interstate purchases in the reporting period except Schedule IV goods. Further, goods from transactions with Interstate Branch Transfer Inward, Interstate Consignment Transfer Inward as Nature of transaction are also considered. |
ii. Purchase in U.P. in Ex. U.P. Principal's a/c |
Displays the value of interstate purchases on behalf of principal in the reporting period. The purchase value for Schedule IV goods only from transactions with Interstate Branch Transfer Inward and Interstate Consignment Transfer Inward as Nature of transaction and Is Principal Account? option is enabled in Statutory Details screen. |
iii. Any other purchase |
This is currently left blank. |
Total |
Displays auto computed value. |
b. Non VAT Goods |
|
i. Interstate purchase by transfer of documents during movement of goods |
Displays value of interstate purchase of Schedule IV goods in the reporting period. The purchase value from transactions with Interstate Branch Transfer Inward and Interstate Consignment Transfer Inward as Nature of transaction are not considered in this case. |
ii. Purchase in U.P. in Ex. U.P. Principal's a/c |
Displays value of interstate purchase of Schedule IV goods on behalf of principal in the reporting period. The purchase value for Schedule IV goods only from transactions with Interstate Branch Transfer Inward and Interstate Consignment Transfer Inward as Nature of transaction are considered in this case. |
iii. Any other purchase |
This currently left blank. |
Total |
Displays auto computed value. |
Grand Total [a+b] |
Displays auto computed value. |
8. Calculation of Gross Inter-State Sale |
|
a- Gross Turnover |
|
i. Gross turnover including value of goods transferred to other place(s) of business or agent(s) or principal(s) outside the state, otherwise than by way of sale |
Displays gross assessable value from all sales transactions recorded in the reporting period. |
b- Deductions |
|
i. Turnover of goods the sale of which has taken place outside the state, as defined in section 4 of the Act. |
This is currently left blank. |
ii. Turnover of goods sold in course of export out of India, as defined in section 5(1) of the Act. |
Displays gross assessable value from sales transactions recorded in the reporting period with Export as Nature of transaction. |
iii. Turnover of goods sold in course of import of the goods into territory of India, as defined in section 5(2) of the Act. |
Displays gross assessable value from sales transactions recorded in the reporting period with Sales High Seas as Nature of transaction. |
iv. Turnover of goods sold in course of export out of India, as defined in section 5(3) of the Act. |
Displays gross assessable value from sales transactions recorded in the reporting period with Interstate Deemed Export as Nature of transaction. |
v. Turnover of goods sold within the state. |
Displays gross assessable value from local sales transactions recorded in the reporting period with Sales Taxable and Sales Exempt as Nature of transaction. |
vi.Turnover of goods
returned to |
Displays gross assessable value from credit note (interstate sales returns) transactions recorded in the reporting period with Interstate Sales - Taxable, Interstate Sales - Against Form C, Interstate Sales Exempt - With Form C and Interstate Sales - E1 as Nature of transaction. |
vii. Value of goods transferred to other places(s) of business or agent(s) or Principal (s) outside the State otherwise than by way of sale in are respect of which exemption is claimed under Section 6-A of the Act. |
Displays gross assessable value from sales transaction recorded in the reporting period for interstate transfer. The transaction with Interstate Branch Transfer Outward and Interstate Consignment Transfer Outward as Nature of transaction are considered in this case. |
Total |
Displays auto computed value. |
Gross Inter State sales = Gross Turnover - Deductions [a-b] |
Displays auto computed value.
|
9. Deduction form Gross Inter-State Sale |
|
i. Turnover of goods,
unconditionally, |
Displays gross assessable value from exempt sales transactions recorded in the reporting period with Interstate Sales Exempt as Nature of transaction. |
ii. Turnover of goods purchased
and sold by transfer of documents of title thereto |
Displays gross assessable value from sales by transfer of title in the reporting period with Interstate Sales - Exempt E1, and Interstate Sales - E2 as Nature of transaction. |
iii. Turnover of goods under section 8(6) |
Displays gross assessable value from sales to SEZ unit in the reporting period. Transactions with Interstate Sales - Zero Rated and SEZ as Type of Exemption selected in the ledger master of the party are considered in this case. |
Total |
Displays auto computed value. |
10. Calculation of Net Inter-State Sales |
|
i. Gross inter-state sales as in Sl.No.9 - Deductions as in Sl.No.10. |
Displays auto computed value. |
11. Calculation of Central Sales Tax on Net Inter-State Sales |
|
Sl. No. |
Displays serial number for the records captured in this section. |
Rate of tax |
Displays the rate of tax for goods sold, as recorded in the Rate field of voucher/Item Allocations screen in transaction recorded with Interstate Sales - Taxable, Interstate Sales - E1, and Interstate Sales - Against Form C as Nature of transaction. |
Commodity |
Displays the commodity name of the item sold. |
Sales amount |
Displays the assessable value of goods sold, as taxable value of goods in transactions recorded with Interstate Sales - Taxable, Interstate Sales - E1, Interstate Sales Exempt - With Form C, and Interstate Sales - Against Form C as Nature of transaction. |
Tax |
Displays the amount applicable as tax, including additional tax, if any. |
12. Adjustment of ITC against CST |
|
13. Tax Payable [in rupees] = Tax as calculated in Sl.No. 11 - Amount declared in Sel.No.12 |
Displays the ITC adjusted against CST payable in the reporting period, as debit value of journal transaction recorded by selecting Decrease of Input Tax as Nature of adjustment and Against CST as Additional Details. |
14. Detail of Tax deposited |
|
Name of the bank/ branch |
Displays the branch name of the bank used to make CST payments to the department, as recorded in the Name of Branch field in the Stat Payment Details screen of a payment transaction in Tax payment Reconciliation report. |
T C number |
Displays the challan number used to make CST payments to the department, as recorded in the Challan No. field in the Stat Payment Details screen of a payment transaction in Tax Payment Reconciliation report. |
Date |
Displays the date of remitting CST payment, as recorded in the Deposit Date field in the Stat Payment Details screen of a payment transaction in Tax payment Reconciliation report. |
Amount of tax |
Display the voucher total of CST payment voucher appearing in Tax payment Reconciliation report for current period. |
Total |
Displays total amount of CST deposited through various challans recorded in this section. |
Signature |
Displays the status/designation of authorised person, as recorded in the Status/Designation field in the Company VAT Details screen. |
Date |
Displays the date of filing returns, as recorded in the Date field in Print Report screen on the form. |
Place |
Displays the place of filing returns, as recorded in the Place field in Print Report screen on the form. |
Status |
Displays the status of person filing returns, as recorded in the Status/Designation field in Print Report screen on the form. |