On exporting data to VAT-15 template, the relevant details are displayed in Worksheet 4.
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      Field Name  | 
    
      Description  | 
   
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      4A. Goods purchased from exempted units  | 
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| 
      (a) Total purchases made during the return period  | 
    
      Displays auto calculated value.  | 
   
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      (b). (i) Less: goods return  | 
    
      Displays zero in this field.  | 
   
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      (b). (ii) Less : Cash Discount  | 
    
      Displays zero in this field.  | 
   
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      (c). Less: goods used in manufacturing of tax free goods  | 
    
      Displays the credit value entered for VAT ledger in journal voucher to reverse the tax credit on manufacture of exempt goods . To reverse tax credit on manufacture of exempt goods 1. Go to Gateway of Tally > Accounting Vouchers > F7: Journal . 2. Click J : Stat Adjustment . o Select VAT as the Type of duty/tax . o Select Reversal of Input Tax as the Nature of Adjustment . o Select Goods Used in Manufacturing - Tax Free Goods (Exempted Unit) for Additional Details . 3. Debit the purchase ledger with Purchase Exempt selected as the nature of transaction. 4. Credit the purchase ledger with Purchase Exempt selected as the nature of transaction. 5. Press Ctrl+A to accept.  | 
   
| 
      (d) Less: goods exported out of India  | 
    
      Displays the value of purchases with Exports and Deemed Exports selected as the nature of transaction.  | 
   
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      (e) Less: goods used in branch transfer/ consignment  | 
    
      Displays the value entered in the field Purchase value if purchase made from Exempted Unit , in Statutory Details screen of purchase invoice for the following nature of transactions: ● Branch Transfer Outward ● Interstate Branch Transfer Outward ● Consignment Transfer Outward ● Interstate Consignment Transfer Outward  | 
   
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      (f) Less: Capital goods  | 
    
      Displays the assessable value of purchase of capital goods recorded. The purchase ledger must be grouped under Fixed Assets , and predefined with the nature of transaction Purchase Exempt - Capital Goods .  | 
   
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      (g) Less : sales made to other than taxable person  | 
    
      Displays the amount entered in the field Purchase value (if purchased from exempted units) , in VAT Details screen of sales invoice recorded with the following nature of transactions: ● Sales Taxable ● Sales - Tax Free ● Sales Exempt  | 
   
| 
      (h) Less : goods not eligible for ITC u/s 13(5)  | 
    
      Displays the assessable value of Non Creditable Purchase - Special Goods . Displays purchases recorded with the purchase ledger predefined with Non Creditable Purchase - Special Goods as the Nature of transaction , with: ● Party Entity/Org. Type set to Exempted Unit in VAT Details screen of purchase ledger. Or ● Type of Exemption set to Exempted Unit in the party ledger.  | 
   
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      (i) Less: any other on which notional ITC not available  | 
    
      Displays the credit value entered for purchase exempt ledger in journal voucher to reverse the tax credit on other purchases . To reverse tax credit on other purchases 1. Go to Gateway of Tally > Accounting Vouchers > F7: Journal . 2. Click J : Stat Adjustment . o Select VAT as the Type of duty/tax . o Select Reversal of Input Tax as the Nature of Adjustment . o Select Other Purchase Adjustments for Additional Details . 3. Debit the purchase ledger with Purchase Exempt selected as the nature of transaction. 4. Credit the purchase ledger with Purchase Exempt selected as the nature of transaction. 5. Press Ctrl+A to accept. In purchase ledger, select the nature of transaction as Purchase Exempt .  | 
   
| 
      (j) Net purchases eligible for notional ITC  | 
    
      Displays auto calculated value.  | 
   
| 
      4B. Notional Input Tax Credit (For purchase from Exempted units only)  | 
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| 
      (a) Brought forward from previous return period  | 
    
      Displays auto calculated value. If opening balance is provided for notional tax ledger , the same is displayed. To create a notional tax ledger 1. Go to Gateway of Tally > Accounts Info. > Ledgers > Create . 2. Enter the Name of the notional tax ledger. 3. Select Duties & Taxes in the Under field. 4. Select Types of duty/tax as VAT . 5. Set the option Use for Notional ITC to Yes . 6. The field Percentage of Calculation displays 4%. Opening balance of notional tax can be entered in the Opening Balance field. 7. Press Ctrl+A to accept.  | 
   
| 
      (b) Add notional ITC @4% on purchases during period [as per WS-4A(j)]  | 
    
      Displays auto calculated value.  | 
   
| 
      (c)Total Notional ITC available  | 
    
      Displays auto calculated value.  | 
   
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      (d) Less: Notional ITC reversal if no stock of goods  | 
    
      Displays the credit value entered for notional tax ledger in journal voucher to reverse the tax credit when stock is unavailable . To reverse tax credit when stock is unavailable 1. Go to Gateway of Tally > Accounting Vouchers > F7: Journal . 2. Click J : Stat Adjustment . o Select VAT as the Type of duty/tax . o Select Reversal of Notional Input Tax as the Nature of Adjustment . o Select Notional ITC (No Stock) for Additional Details . 3. Debit the purchase ledger. 4. Credit the notional tax ledger (the option Use for Notional ITC should be set to Yes in the ledger grouped under Duties & Taxes ). 5. Press Ctrl+A to accept.  | 
   
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      (e) Net Notional ITC available  | 
    
      Displays auto calculated value.  | 
   
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      4C. Information to be furnished by exempted unit  | 
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      (a) Entitlement certificate no.  | 
    
      Displays the Entitlement Certificate No. entered in the Company VAT Details screen.  | 
   
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      (b) Entitlement certificate date (dd/mm/yyyy)  | 
    
      Displays the Date entered for the Entitlement Certificate No. in the Company VAT Details screen.  | 
   
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      (c) Date of expiry of exemption / deferment (dd/mm/yyyy)  | 
    
      Displays the Date of Expiry of Exemption/Deferment entered in the Company VAT Details screen.  | 
   
| 
      (d) Total amount of exemption / deferment allowed  | 
    
      Displays the Total Amount of Exemption/Deferment allowed entered in the Company VAT Details screen.  | 
   
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      (e) Output liability under  | 
   |
| 
      (i) PVAT  | 
    
      Displays auto calculated value.  | 
   
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      (ii) CST  | 
    
      Displays auto calculated value.  | 
   
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      (f) Output tax liability on branch transfers/consignment sales  | 
    
      This field will be currently left blank.  | 
   
| 
      (g) Total Exemption availed (e)(i) + (e)(ii) + (f)  | 
    
      Displays auto calculated value.  | 
   
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      (h) (i) Exemption/deferment available at the beginning of the return period (including under CST Act)  | 
    
      Displays the Opening Balance of Exemption/Deferment Amount entered in Export Report screen of Form 15 report.  | 
   
| 
      (h) (ii) Exemption/deferment availed during the return period including refunds received  | 
    
      Displays the Exemption/deferment availed during the return period including refunds received entered in Export Report screen of Form 15 report.  | 
   
| 
      (h) (iii) Balance at the end of the return period  | 
    
      Displays auto calculated value.  | 
   
'Worksheet 4 - e-VAT Form 15 (Punjab)' has been shared with
