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Oct 8, 2009

Bank Reconcilliation Statement(BRS)

Reconciling the companies bank accounts with the banker's statement is a fundamental and routine task of Accounting. in Tally Reconciliation can be done for any company.
The process in Tally is linked to the information that is provided while creating bank ledger. You will notice that the moment you select the 'bank account' group for a bank ledger, the field-
"Effective Date for Reconciliation" appears. Normally this would be the 'Book Beginning from' date itself. You can also specify any other date reconciliation as per your needs. It may be noted that any transaction prior to the 'Effective Date for Reconciliation' will not be considered for reconciliation purpose. After creating all bank accounts and passing the necessary transaction purpose. After creating all bank accounts and passing the necessary transactions with them you need to reconcile the Bank Book with the Bank Statement.

In order to that perform the following:
Gateway of Tally -> Display -> Accounts Books -> Cash/Bank Book(s).
Select the bank whose balance you want to reconcile. Select the month which the bank balance you want to reconcile. Press F5. Put the dates of clearing amount i.e. the date when the amount goes out of bank.

6 comments:

Unknown said...

how to prepare brs in tally

Unknown said...
This comment has been removed by the author.
Anant Pasari said...

can we get more details about company brs

Unknown said...

Bank Reconciliation as on 30-nov-13
IL&FS Education & Technology Services Ltd.

Closing balance as per our ledger: 638395

Add: Cheque issued but not presented in bank for payment
Sl No Name Chq No Date Amount Ref No

Total

Less: Amount Debited by Us but not credit by Bank
Sl No Name Chq No Date Amount




0

Less: Amount Debited by Bank but not Credited by Us
A Name Chq No Date Amount
1 180000
2 18750
3






Total 198750

Add: Amount Credited by bank but not debited by us
Sl No Name Chq No Date Amount Remark
1 CASH DEPOSITE,NAGPUR 2-Dec-13 49000
2 CASH DEPOSITE,NAGPUR 3-Dec-13 4000
3 CHEQUE DEPOSITE,KASTRURBA RD,INB 6-Dec-2013 14000
4 CHEQUE DEPOSITE,SOMAJIGUDA,CAN 7-Dec-2013 15909
5 CHEQUE DEPOSITE,NUNGAMBAKKAM,INB 9-Dec-2013 49218







Total 132127
Balance as per Bank Reco 571772
Balance as per Bank Statement 571772
Diff 0

Unknown said...

excel format

Unknown said...

This is a great blog keep it up. Thanks for sharing friends on visit my website.

Tally Training

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