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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/te9rel65/Banking/pdc_txn.htm

Post-dated Transactions Report

The Post-dated Transactions report displays month-wise list of transactions recorded with post-dated cheque entries.

Drill down from one of the months in the Particulars column. The Post-dated Transactions report appears as shown:

The report displays information as follows:

Date : This column displays the date provided in the voucher while recording the post-dated transaction in Tally.ERP 9.

Type : This column will indicate if a post-dated cheque has been issued or received.

Bank : This column displays the bank ledger that has been used to record the transaction.

Particulars : This column displays the name of the party ledger that has been used to record the transaction.

Inst. No. : This column displays the instrument number entered in the Bank Allocations screen while recording the transaction.

Inst. Date : This column displays the instrument date entered in the Bank Allocations screen while recording the transaction. That is, the date provided on the face of the cheque.

Status : This column indicates if the current status of the cheque. There are two types of status for a cheque:

o Regularized , if the date of the cheque is equal or more than the Date of Last Entry indicated in the Gateway of Tally.

o Pending , when the cheque date is lesser than the Date of Last Entry .

Amount : This column displays the value of the post-dated cheque issued/received.

See also

Features of Post-Dated Cheque (PDC)

How to pass Post-Dated Cheque (PDC) payment transaction ?

How to go to PDC Summary report?

What is the way to record PDC to ensure it will not reflect regular accounts?