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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/te9rel64/Maintaining_Company_Data/F12_Config/Banking_Configuration.htm

Banking Configuration

You can configure your BRS report and alter the reconciled vouchers in Tally.ERP 9 by enabling the required options in the Banking Configuration screen.

To view the Banking Configuration screen

1. Go to Gateway of Tally > F12: Configure > Banking Configuration . The Banking Configuration screen appears as shown below:

2. Enable the option Show all unreconciled transactions in BRS till date to view all the u nreconciled t ransactions till the given date, irrespective of the From date set in the Bank Reconciliation Statement .

3. Enable the option Remove bank date on altering reconciled voucher to remove the bank date (reconciled date) of a reconciled voucher on changing the bank ledger/amount or bank transaction amount.

4. Alter the location of the statements or files specified, if required.

5. Enable the option Show details before export? to view details of the transactions for which the payment instruction is being exported.

6. Press Ctrl+A to save.