send to me comapny.900 file to my email i will tell you your password
my email id is assetalli@gmail.com
how i made one bank to another bank transfer entry in tally 5.4
How do you calculate VAT in Tally 9.0 & how to put bank transcation in tally
how i made one bank to another bank transfer entry in tally 5.4
What do we write in entry account heading in bank reconcilation statment " deposit not shown in bank "
Asset Reconcilation means reconcilation of asset, verifying the asset with the available cash.
"4 ways proof of cash" is a way to reconcile the cash accounts. It relates to Bank Reconcilation and Auditing.
Debit bank a/c Credit loan a/c
debit bankcredit cash
salary a/c Dr To Bank a/c
Debtors A/c dr. To Bank A/c
create bank charges ledger under expenses....n make a entry.
Party Name dr. Cash/Bank cr.