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GSTR-2 Report in Tally.ERP 9
 

GSTR-2 is the monthly GST return to be filed by a taxable person registered under GST. GSTR-2 includes the details of all inward supplies made in the given period.

The inward supply details include B2B invoices to registered and unregistered dealers, import of goods and services, adjustments to purchases in debit/credit notes, nil rated invoices, advances paid and adjusted, and tax credit reversed or re-claimed.

You can reconcile the transactions available in portal and in Tally.ERP 9.

To view the report in the format provided by GST

     Go to Gateway of Tally > Display > Statutory Reports > GST > GSTR–2.

Click F1: Detailed to view the breakup of:

o     Taxable purchases and purchases under reverse charge for B2B invoices.

o     Composition, exempt, nil rated and non GST supplies under Nil Rated Invoices.

Note: Press F2 to change the report period.

Configurations

To view the tax types and tax amount for each table of the report, use F12: Configure.

     Show tax types in separate columns?: Enable this option to view all GST tax types in separate columns. This option is enabled by default. When this option is displayed, tax amount is displayed in a single column without the central tax, state tax and integrated tax break-up.

     Show tax details of: Select Input Credit Only to view only the tax amount that you can claim as credit. Select Tax Paid Only to view the tax amount that you have paid. Select Both to view the tax paid and the tax credit that can be claimed.

     Round-off margin: The round-off limit for tax amount is set to 1. You can change it as required to ensure the relevant transactions are included in the returns.

     Ignore differences in value up to: The difference in value appearing in GSTR-2 file of portal and Tally.ERP 9 is set to 1. You can change it as required to ensure the relevant transactions are included in the returns.

     You can generate the report with the line HSN Summary of inward supplies by enabling the option Show HSN/SAC Summary?.

     You can generate the HSN/SAC Summary report with only the description or HSN or both, based on the grouping set in the option Group vouchers by.

As per the GST return format view, there are two sections in this report:

     Returns summary - a snapshot of the business operations in the given period.

     Particulars - structured as provided by the department.

The Reconciliation Status column displays the status as:

     Completed if a status is set for all the vouchers in the table.

     Not Complete if status is not set for any/multiple/all the invoice(s), the status appears as . It displays the overall status of the table based on the invoice matching.

Transaction Summary for the Return Period

This section provides a summary of all transactions recorded in the reporting period. You can drill down on each row to view the details.

Total number of vouchers for the period

Drill down shows the Statistics report, listing the vouchers participating in the GST return.

Participating in tables

Drill down from this row to view the Summary of Included Vouchers report, with the list of voucher-types with voucher count.

Not relevant for returns

Drill down from this row to view the Summary of Excluded Vouchers report, with the transaction type-wise voucher count.

Other transaction types that can appear under excluded vouchers:

     Excluded by User: Manually excluded by you from the list of included or uncertain transactions. Drill down and use I: Include Vouchers, if required. Based on the information in the voucher it will move to either included or uncertain.

     Contra Vouchers: The count of contra entries which involve only bank and cash ledgers.

     Order Vouchers: The count of sales order, purchase order, job work in order, and job work out order vouchers.

     Inventory Vouchers: The count of receipt note, stock journal, delivery note, material in, material out, rejections in, rejections out, and physical stock vouchers as they are purely inventory in nature and do not attract GST.

     Payroll Vouchers: The count of transactions recorded using payroll and attendance vouchers. GST does not apply to these transactions.

     Other voucher: The count of memorandum and reversing journal vouchers.

     No GST Implications: The count of receipts, payments, and journal vouchers that do not have any GST implication.

     Non GSTR-2 Transactions: The transactions which are part of other returns, for example: GSTR – 1, and hence will not have any implication on GSTR–2.

All the transaction types are not displayed by default. Based on the voucher type used and the exclusions done by you, the relevant categories appear with the voucher count.

Not included in returns due to incomplete information

Displays the count of all vouchers for which tax type/tax rate not specified, vouchers have incomplete/incorrect adjustment details, and UQC is not selected. You can correct exceptions in the vouchers before exporting GST returns.

Invoices with mismatch in information

Displays the count of all vouchers for which information required for filing returns is missing in the invoice. You can correct exceptions in the vouchers before exporting GST returns.

The exceptions are listed in the order of priority, based on the importance of the information for generating returns. You need to update the missing information and resolve the mismatches to include these in the returns.

 
POPULAR TOPICS @ GST in Tally.ERP9
FAQ @ GST Invoicing and Printing
FAQ @ GST Features and Tax Calculations
Unregistered Dealers under GST
HSN/SAC for GST
Recording Transactions under GST
Licensing and Migration for GST
Table-wise Report of GSTR-1
Using Multiple addresses for Ledger Account
Create A Voucher Class for Inclusive of Tax Calculations
Creating Voucher Types in Tally.ERP9
Restarting Voucher Numbering
Renewing Your Tally Software Service subscription for Tally.ERP 9
How to Upgrade to the Latest Tally.ERP 9 Release
How to Update Your Tally.ERP 9 License
How to Reactivate Tally.ERP 9 License
Surrendering Tally.ERP 9 License
Activating Tally.ERP 9 License
Configuring Tally.ERP 9 License from Tally Gateway Server
Summary of Exceptions- GSTR-2
Table-wise Report-GSTR-2
Returns Summary – GSTR-2
Computation Details- GSTR-2
Status Reconciliation- GSTR-2
Returns Summary- GSTR-1
Computation Details- GSTR-1
Summary of Exceptions- GSTR-1
Table-wise GSTR-1
Status Reconciliation-GSTR-1
Reversal of Tax Credit under GST
Refund of Tax Credit under GST
Recording Transitional Credit under GST
Adjustments Against Tax Credit under GST
Liability for interest, Penalty, Late Fee, and other Dues in GST
Advance Payment to Supplier under Reverse Charge in GST
GST Payment Voucher
Sales Returns under GST
Export Sales under GST
Sales of Mixed supply under GST
Sales of Composite Supply under GST
Nil-Rated GST-Sales
Exempt GST-Sales
SEZ GST-Sales
GST-Sales to Consumer (B2C large and small invoices)
GST-Sales Involving Consignee (ship to) and buyer (bill to)
GST-Sale of Works Contract Services
Local GST-Sales
Interstate GST-Sales
GST-Sales of Goods and Services in a Single Invoice
Restart Voucher Numbering in GST Sale
Purchase Returns under GST
Record Inward Supply Of Services As Imports under GST
Raise Tax Liability under GST Purchase
Claim Tax Credit On The Liability Of Imports under GST Purchase
Nil Rated GST-Purchases
Exempt GST-Purchases
SEZ GST-Purchases
GST-Purchase of Works Contract Services
Local GST-Purchase
Interstate GST-Purchase
Updating / Creating a Sales Ledger under GST
Updating/Creating a Purchase Ledger under GST
Setting up GST Rates
Activating GST
Providing GST-related details
Sales Inclusive of Tax in Tally.ERP9
 
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