Annexure I displays the monthly payment details.
1. Copy the excel template to the Tally.ERP 9 installed folder.
2. Go to Gateway of Tally > Display > Statutory Reports > VAT > VAT Form RT-III .
3. Click A : Annexures .
4. Select Box I (under Payments ) and press Enter .
5. Click E : Export to view the Export Report screen. Based on the VAT Form RT-III report period, the From and To dates are displayed here. These dates can be changed from e-VAT Annexures report, if required. Ensure the template is available in the Export Location .
6. Add the number of rows based on the count provided in No. of rows to be added field.
7. Press Enter to export data.
A brief explanation about the annexure fields is given below:
Field Name |
Description |
Box I [Details of monthwise payment of tax and interest under VAT, CST and Entry Tax] |
|
Name of Month* |
Displays the month based on the Period To date entered in the Stat Payment Detail screen of payment voucher. |
Name of the Act* |
Displays the VAT or CST based on the Tax Type selected in the Stat Payment Detail screen of payment voucher. |
Output tax during month if any |
Displays total output tax charged on sales during the month (autocalculated value). |
Input tax during month if any |
Displays total input tax paid on purchases during the month (autocalculated value). |
Tax payable in month if any |
Displays the amount of VAT or CST payable. |
Amount of tax paid* |
Displays the amount entered in VAT or CST payment voucher. |
Amount of interest paid |
Displays the amount entered for current liability ledgers by selecting the Payment Type other than Not Applicable . |
Date of payment |
|
Challan No. |