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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/te9rel62/Voucher_Entry/Accounting_Vouchers/Creating_a_Receipt_Entry.htm

Recording a Receipt Entry

Any money received from debtors against sales Invoices or on Account and for all transactions where money is received are accounted or entered into Tally.ERP 9 using the Receipt Voucher.

To view the Receipt Voucher screen,

     Go to Gateway of Tally > Accounting Vouchers.

     Select F6: Receipt from the button bar or press F6.

For example, if your company receives money from a customer for an earlier transaction say sales, and the same is passed through a Receipt Voucher:

     Credit the customer account and debit the Cash account, if you receive cash or

     Debit the Bank account where you need to deposit the money, if you receive Cheques.

The entry in double-entry mode is displayed as shown:

Note: If you want to set a default account for all your receipt vouchers, you can create a voucher type with the option Enable default accounting allocation? set to Yes, and record your payments. In this case, the payment vouchers appear in the single entry mode.

Special Keys for Voucher Narration Field

     ALT+R: Recalls the Last narration saved for the first ledger in the voucher, irrespective of the voucher type.

     CTRL+R: Recalls the Last narration saved for a specific voucher type, irrespective of the ledger.

Receipt Entry Using Bank

To create a receipt voucher in single entry mode,

1.    Go to Gateway of Tally > Accounting Vouchers > F6: Receipt.

2.    In F12: Configure set the option Use Single Entry mode for Pymt/Rcpt/Contra to Yes.

The Bank Allocations screen appears as shown below:

3.    In the Received From field, the party name as defined in the ledger master appears by default . This can be changed as the convenience of the user.

4.    Select Inter Bank Transfer as the Transaction Type.

5.    Specify the Inst.No, Bank, Branch and the Transfer Mode.

Note: the option Transfer Mode will appear only if the option Show Transfer Mode is set to Yes in F11: Accounting Features> Edit banking features

The completed Bank Allocations screen appears as shown below:

Other Transaction Types

To include other transaction types, (such as cards)

1.    Go to Gateway of Tally > F11: Features > Alter Banking Details

2.    Set the option Alter List of Transaction Types to Yes.

The following screen appears:

3.    The user can set the option to yes for any transaction type that he/she wish to enable.

The bank allocation screen after selecting the various transaction types appears as shown below:

Note: When recording a receipt voucher using bank for two parties, in the bank allocation screen, the default of both the parties will be captured on setting the option Set Ledger wise Bank Allocation on Create Mode to Yes.