Home » Education » How to do Bank Reconciliation in Tally Prime| BRS Part-2| Prepare/Make Bank Reconciliation Statement

How to do Bank Reconciliation in Tally Prime| BRS Part-2| Prepare/Make Bank Reconciliation Statement

Written By Accounting : No Problem on Wednesday, Jan 25, 2023 | 12:45 AM

 
Bank Reconciliation Statement (Part-1) - https://youtu.be/KvR6nReLYZY Bank Reconciliation Statement (Part-2) PDF - https://bit.ly/3Jmkj89 In this easy Hindi tutorial of Tally Prime, you will learn about Bank Reconciliation Statement in Tally Prime. We will tell you what BRS is, how to match bank statements with company books, the steps of doing Reconciliation in Tally Prime, how to prepare BRS. In this video, you will learn - 0:00 - Introduction 0:56 - What is the process of Bank Reconciliation in Tally Prime? 3:01 - What is “Balance as per Company Book” option on the Bank Reconciliation Statement Screen in Tally Prime? 3:25 - What is “Amounts not reflected in the Bank” option on the Bank Reconciliation Statement Screen in Tally Prime? 3:58 - What is “Balance as per Bank” option on the Bank Reconciliation Statement Screen in Tally Prime? 6:57 - What are the reasons why entries are shown in Bank Account but not reflected in Bank Statement? @AccountingNoProblem का यह हिंदी वीडियो “Tally Prime में Bank Reconciliation Statement” विषय पर दूसरा वीडियो (2nd Part) है| इसमें आप, निम्नलिखित प्रश्नों के उत्तर जान पाएँगे : Bank Reconciliation करने की क्या प्रोसेस है ? Bank Reconciliation करने के कितने तरीके हैं ? Bank Reconciliation स्क्रीन पर “Bank Date” ऑप्शन क्या है ? Bank Reconciliation में “Balance as per Company Books” क्या है ? Bank Reconciliation में “Amounts Not Reflected in Bank” का क्या मतलब है ? Bank Reconciliation में “Balance as per Bank” का क्या मतलब है ? जो एंट्रीज़ हमारे यहाँ के Bank Account में हैं, वे यदि Bank Statement में नहीं रहती हैं , तो इसके पीछे कौन-कौन से कारण हो सकते हैं ? Tally में Bank Reconciliation को कैसे Save करते हैं ? यदि आप उपरोक्त प्रश्नों के उत्तर जानना चाहते हैं तो इस वीडियो को अवश्य देखें | धन्यवाद ! @AccountingNoProblem ka yeh Hindi video “Tally Prime me Bank Reconciliation Statement” vishay par doosra video (2nd Part) hai. Isme aap, nimnalikhit prashno ke uttar jaan payenge : Bank Reconciliation karne ki kya process hai? Bank Reconciliation karne ke kitne tarike hai? Bank Reconciliation screen par “Bank Date” option kya hai? Bank Reconciliation me “Balance as per Company Books” kya hai? Bank Reconciliation me “Amounts not Reflected in Bank” ka kya matlab hai? Bank Reconciliation me “Balance as per Bank” ka kya matalab hai? Jo entries hamare yaha ke Bank Account me hain, ve yadi Bank Statement me nahi rahti hain, to iske pichhe kaun-kaun se karan ho sakte hain? Tally me Bank Reconciliation ko kaise save karte hai? Yadi aap uprokt prashno ke uttar janna chahte hai to is video ko avashya dekhe. Dhanyavad ! Subscribe : https://bit.ly/3i4ORuJ TallyPrime Basic level : https://bit.ly/2WAIKZ3 TallyPrime Intermediate level : https://bit.ly/3ifafzZ GST in TallyPrime : https://bit.ly/3DIvCCZ All Playlist : https://bit.ly/3bwvgkq Website : https://www.accountingnoproblem.com/ #tally #tallyprime #tallyprimegst #hindi #gst