Tally 9.0  Syllabus

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Module - I

Day                                       Particulars    Pg. No.  Mode  Vol.
  1   Introduction about Key Strokes, Students Tally Versions, Faculty          TH  
  2   Business Organisation : Service org., Trading org., Manufacturing org.   9,10,11,12        TH      I
  3   Accounting Principles, Concepts & Convention, Definition, Types of concepts   3,4        TH      I
  4   Types of Conventions   3,4        TH      I
  5   Transactions: Types of accounts, golden rules.   2,3        TH      I
  6   Transaction: Types of Journal Book, Accounting voucher in Tally   2,3,32 &33        TH      I
  7   Transaction: Compound Journal Entry   2,3        TH      I
  8   Mode of  Accounting: Posting   6        TH      I
  9   Mode of Accounting : Trial balance   6        TH      I
  10   Financial Statement: Trading & P/L A/C. Processing Transaction in Tally   6 and 32        TH      I
  11   Financial Statement: Balance Sheet, Processing Transaction in Tally   7 and 32        TH      I
  12   Provision Entries   121,122        TH      I
  13   Provision Entries   121,122        TH      I
  14   Bank Reconciliation Statement   74        TH      II
  15   Test          TH  
  16   Seminar and doubts clarification          TH  

Module - II

 Day                                                       Particulars      Pg. No.     Mode   Vol.
  17   Introduction to Tally: Features of Tally, Getting Functional with Tally, Creation, Alteration &      Deletion of Company in Tally   17,18,20,21,22        D       I
  18   Practical Exercise          P       I
  19   Ledgers and Groups Creations: Creation, Alteration & Deletion in Single and Multiple Mode      32        D       I
  20   Practical Exercise              P       I
  21   Recording Transaction      33-88        D            I
  22   Practical Exercise : April-May      34-54        P       I
  23   Practical Exercise : June-July      56-59        P       I
  24   Practical Exercise : Aug-Sep      63-66        P       I
  25   Practical Exercise : Oct-Nov      69-71        P       I
  26   Practical Exercise : Dec-Jan      74-80        P       I
  27   Practical Exercise : Feb-Mar      82-88        P       I
  28   Backup and Restore, Report Generation      51        D       I
  29   Practical Exercise      93-110        P       I
  30   Test      
  31   Seminar and doubts clarification      

Module - III

 Day                                              Particulars     Pg. No.    Mode    Vol.
  32   Ledgers and Group Creation     204 - 205        D       II
  33   Practical Exercise     204 - 205        P       II
  34   Cost Centers: Creation, Alteration and view reports     46      D/P       II
  35   Creation of Vouchers Types     153      D/P       II
  36   Inventory: Stock Item, Stock Group, Stock Category, Unit of Measure.     35 - 37         D       II
  37   Practical Exercise     35 - 37         P       II
  38   Bill wise details     38         D       II
  39   Practical Exercise     38         P       II
  40   VAT/CST Report generation          TH       II
  41   Cheque Printing and BRS     54,74       D/P       II
  42   Interest Calculation: Simple mode     58 - 61       D/P       II
  43   Interest Calculation: Advance Mode, Activation, view report, creation of voucher class     164         D       II
  44   Practical Exercise     164         P       II
  45   Invoicing, diff. actual and bill qty.     162 -165        D/P       II
  46   Creation of Voucher class under sales, purchase, payment     95         D       II
  47   Practical Exercise     162 - 166         P       II
  48   Multiple Price Level     199        D/P       II
  49   Printing Reports     158 - 159        D/P       II
  50   Test      

Module -IV

  Day                                            Particulars     Pg. No.    Mode   Vol.
  51   Track additional cost of purchase      200      D/P      III
  52   Bill of Materials      201      D/P      III
  53   Inventory Voucher, Reorder levels      63       TH      III
  54   Practical Exercise      204 - 211       P III  
  55   Multiple Currencies      207,210      D/P      III
  56   TDS and Service Tax      184 - 196       TH      III
  57   Practical Exercise      210 - 213         P      III
  58   Security Control, Tally Audit      142       D/P      III
  59   Consolidation, Split, Export, and Import      67 - 72       D/P      IV
  60   ODBC, Web Enabled      73 - 82       D/P      IV
  61   Final Test