Tally Prime Basic to Advance Training 2025
Saad Nadeem, Software Trainer
Schau dir diesen Kurs und Tausende anderer Kurse an
Schau dir diesen Kurs und Tausende anderer Kurse an
Einheiten dieses Kurses
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1.
Introduction to Course
2:00
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2.
Installing Latest Release of Tally Prime on Laptop
6:16
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3.
Creating New Company and Altering Existing Comnpany Details in Tally Prime
7:14
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4.
Learning Tally Shortkeys
5:18
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5.
Introduction to Trading Company Project
7:37
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6.
Understanding The Interface
1:55
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7.
Understanding Tally Masters and Single Ledger Creation Mode
9:02
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8.
How to Delete a Ledger in Tally Prime
1:25
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9.
Entering Ledgers From Multi ledger Creation Mode
8:35
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10.
How to Edit Multiple Ledgers in Tally Prime
2:16
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11.
Entering Customers and Vendors With Control Account Opening Balances
8:24
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12.
Inventory Creation With Opening Balances from Single Item Creation Mode
5:01
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13.
Inventory Creation With Opening Balances from Multi Item Creation Mode
3:54
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14.
Reconcilling Opening Trial Balance Report
1:45
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15.
Cash Purchases of Fixed Asset in Tally
5:06
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16.
Dealing With Prepaid Expenses
3:11
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17.
Dealing With Security Deposit in Tally
4:54
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18.
Dealing With Paint and Renovation Expenses
2:44
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19.
Receiving Payments Against Customer Balances to Settle Account in Full
3:12
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20.
Entering Purchase Invoice on Credit
3:20
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21.
Dealing With Cash Sales In Tally Prime
2:38
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22.
Recording Credit Sales in Tally
2:52
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23.
Dealing With Customer Advances
2:38
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24.
Handling Sales Order
3:54
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25.
Entering Direct Sales In Tally
3:14
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26.
Activating and Recording Purchase Orders in Tally Prime
4:32
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27.
Dealing With Bad Debts
3:55
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28.
Purchase Of Services
3:55
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29.
Partial Payments of Purchase Invoices
2:59
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30.
How to Convert Sales Order to Sales Invoice in Tally Prime
3:17
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31.
Dealing With Purchase Returns
3:21
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32.
Handling Sales Returns in Tally
2:58
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33.
Convert Purchase Order to Purchase Invoice
2:21
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34.
Loss of Inventory Adjustment in Tally
3:33
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35.
Rent Expense Adjusted Against Advance Rent Account
2:35
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36.
Extracting Trial Balance Report
5:21
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37.
Extracting Profit and Loss Report
3:21
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38.
Extracting Balance Sheet Report
2:45
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39.
How to Drill Down in Sub Reports from Main Report in Tally
1:18
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40.
Report Customization in Tally Prime
6:05
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41.
Introduction to Manufacturing Company Project
5:20
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42.
Creating a New Manufacturing Company in Tally Prime
0:13
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43.
Entering Legders With Opening Balances
5:05
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44.
How to Delete A Specific Ledger in Tally
0:58
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45.
Entering and Altering Ledgers From Multi ledgers Option
3:54
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46.
Customer and Vendor Opening Balance Details
8:52
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47.
Inventory Opening Balance and Control Account Linkage
8:04
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48.
Creating Finished Goods and Defining Bill of Materials For Each
5:13
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49.
Accrued Expenses Paid By Cash
5:10
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50.
Purchase Order Placement to Vendor
4:12
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51.
Converting Purchase Order to Purchase Invoice in Tally Prime
3:16
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52.
Direct purchase of Multiple Items in One Invoice
4:47
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53.
Entering Sales Order of Finished Goods
4:29
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54.
How to Record Cash Withdrawal from Bank for Office Use
2:37
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55.
Receiving Partial Payment From Customers in Cash
1:48
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56.
Receiving Partial Payment From Customers in Bank
1:25
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57.
Dealing With Vendor Payments With Early Settlement Discounts
4:06
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58.
Handling Purchase of Services in Tally Prime
3:35
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59.
Dealing With Cash Purchase of Services in Tally Prime
3:33
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60.
Receipt of Customer Advances
2:23
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61.
Dealing With Customer Sales Order Against Zero Stock
4:51
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62.
How to Set Default Company in Tally Prime
2:28
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63.
Dealing With Expenses Paid by Card
3:50
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64.
Dealing With Repair and Maintenance Expenses in Cash
1:44
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65.
Dealing With Purchase of Fixed Assets in Tally Prime
1:52
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66.
Manufacturing Finished Good From Raw Material
7:47
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67.
Dealing With Bad Debts in Manufacturing Company
2:20
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68.
Converting Sales Order to Sales Invoice
1:27
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69.
Entering Direct Sales in Tally Prime
2:50
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70.
Partial Conversion of Finished Goods Sales Order to Sales Invoice
3:37
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71.
Handling Vendor Payments Against Account Balances
2:28
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72.
Dealing With Payments of Fixed Assets and Liabilities
2:29
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73.
Purchase Return or Debit Note Treatment in Tally Prime
4:05
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74.
Sales Return or Credit Note Treatment
2:53
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75.
How to Record Cash Purchase of Services in Tally
1:10
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76.
Dealing With Drawings for Manufacturing Company
1:45
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77.
Dealing With Loss of Inventory in Tally Prime
1:52
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78.
Recording Income Tax Expenses in Tally
2:06
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79.
Dealing With Accrued Expenses
3:43
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80.
Extracting Trial Balance For Reconciliation
3:12
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81.
Extracting Closing Reports
10:02
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82.
Taking Company Backup
1:56
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83.
Restore a Backup File in Tally Prime
2:14
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84.
How to Delete a Company in Tally Prime
1:10
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85.
Supplier Account Reconciliation
1:54
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86.
How to Maintain Stock at Multiple Locations Using Go down
4:04
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87.
How to Sale Stock From Multiple Locations Using Godowns and Extract Reports
13:48
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88.
Defining Standard Rates in Tally Prime
5:40
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89.
VAT Calculation in Tally Prime
9:50
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90.
VAT Report Customization to Columnar Format
4:13
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91.
Managing Staff Advances With Cost Centre Features
18:46
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92.
Full Payroll System in Tally Prime
19:55
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93.
User Access Rights in Tally Prime
8:59
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94.
Dealing With Multi Currency Transactions
8:17
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95.
Printing Invoices in Tally Prime - Complete Print Settings
5:55
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96.
Use of Statistics Report
1:56
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97.
Setting Reorder Level in Tally Prime
10:27
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98.
Defining Multiple Price Level Lists in Tally
11:56
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99.
Import Master Data In Tally Prime
9:04
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100.
Dealing With Trade Discounts and Cash Discounts in Tally Prime
3:34
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1
Teilnehmer:in
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Projekte
Über diesen Kurs
Master Bookkeeping, Inventory, Payroll, and Financial Reporting in Tally Prime – From Scratch to Advanced Level
This course is designed for freelancers, accounting students, and small business owners who want to confidently manage accounts, inventory, payroll, and reporting using Tally Prime’s latest version.
We’ll begin by showing you how to download, install, and activate Tally Prime on your system. Then, you’ll jump right into setting up your company, creating ledgers, and working on real-life business transactions through a series of step-by-step lectures.
Through practical examples and two full projects (a trading company and a manufacturing company), you’ll gain the skills needed to handle day-to-day accounting operations like sales, purchases, stock management, tax handling, payroll processing, and reporting — all within Tally Prime’s user-friendly interface.
Here’s what you’ll learn:
✅ How to download, install, and navigate Tally Prime
✅ Create and manage companies, ledgers, customers, and vendors
✅ Record purchases, sales (cash & credit), and customer advances
✅ Handle inventory with opening balances, godowns, reorder levels, and multi-location stock
✅ Work with sales & purchase orders, debit/credit notes, and returns
✅ Record fixed asset purchases, depreciation, drawings, prepaid expenses & accrued liabilities
✅ Manage cash & bank transactions, reconciliation, and card payments
✅ Prepare VAT returns and customize VAT reports in columnar format
✅ Generate and customize reports: Trial Balance, P&L, Balance Sheet
✅ Process payroll, including staff advances, salaries, and full employee setup
✅ Use cost centres, bill of materials (BOM), and manufacture finished goods from raw materials
✅ Work with multi-currency transactions and user access controls
✅ Backup, restore, and delete company data securely
✅ Import master data, set price levels, apply discounts, and much more
By the end of this course, you'll be able to confidently:
✔️ Maintain accurate financial records
✔️ Track inventory and manage stock efficiently
✔️ Handle all types of business transactions
✔️ Generate professional financial and tax reports
✔️ Use Tally Prime like a professional accountant or business owner
Whether you’re new to accounting software or want to polish your Tally skills, this course will take you from beginner to expert — with no prior experience required.
Important Disclaimer:
This class is intended solely for educational purposes and does not provide investment, tax, accounting, or financial planning advice. Please consult with a qualified professional for guidance specific to your financial or legal situation. Any legal requirements that may apply, including those related to registration with the SEC or state securities regulators, should be followed if applicable.
Triff deine:n Kursleiter:in
Hi, I'm Saad Nadeem, and since 2016, I've been helping individuals, small businesses, and even large corporations master practical software skills through simple, structured training.
Over the past decade, I've trained more than 15,000 students through physical workshops, one-on-one sessions, online classes, and corporate programs. My goal has always been to simplify complex tools and make learning more accessible for everyone from beginners to professionals.
I specialize in accounting, business intelligence, and analytics software, and I'm passionate about empowering people to gain confidence in using technology to improve their careers and businesses.
Whether you're a freelancer, accounting student, or business owner, my classes are designed to give you hands-on, ... Vollständiges Profil ansehen
Praxisnahes Kursprojekt
For your class project, you’ll create a sample company in Tally Prime and complete a series of hands-on, real-world accounting tasks — just like you would in a real business.
Your Project Steps:
1. Download and Install Tally Prime (Latest Version)
Follow the course instructions to install the latest version of Tally Prime on your computer.
2. Create a New Company
Set up your sample company with relevant details like financial year, base currency, and contact info.
3. Add Opening Balances and Create Ledgers
Create at least two customer and two vendor ledgers, and enter opening balances for assets, liabilities, income, and expenses.
4. Record Sales and Purchase Transactions
Enter two sales invoices (one cash, one credit), two purchase invoices, and one credit note or debit note.
5. Reconcile Bank Transactions
Record at least five bank transactions and perform bank reconciliation using the Bank Reconciliation feature.
6. Manage Inventory
Create at least two inventory items with opening balances and record one purchase and one sale involving inventory.
7. Generate and Save Key Reports
Extract and save a Trial Balance, Profit & Loss, and Balance Sheet report.
8. Record a Payroll Transaction
Set up a simple employee ledger and enter a payroll entry using cost center tracking.
Project Submission:
Upload a file or document that includes clear screenshots of the following:
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Your Company Creation screen
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Chart of Ledgers (including Customers, Vendors, and Payroll)
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A Sales Invoice and a Purchase Invoice
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Bank Reconciliation screen
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Inventory Item Summary or Stock Summary report
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Trial Balance, P&L, and Balance Sheet Reports
Once you've completed the project, upload your screenshots and share your experience in the Project Gallery. This is a great way to showcase your skills, get feedback, and see how others are applying what they’ve learned.
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