Simplest way to learn GST in Tally.ERP9
Get TallyERP9 Book with GST Updated for Rs.450 Tally.ERP9 Book + GST for Tally Book CONTENTS Get TallyERP9 Book with GST Updated for Rs.450
Advance Payment to Supplier under Reverse Charge in GST in Tally.ERP9
 

You can record advance payments made to registered or unregistered dealers in a payment voucher, raise liability in journal voucher, record a refund voucher in receipt voucher if advance payment transaction is cancelled, and cancel the liability on advance payment in journal voucher.

Advance payment

Raising liability for advance payment

Refund voucher cancellation of advance payment transaction

Cancelling the liability of advance amount to the extent the transaction is cancelled

Advance Payment

To record a payment voucher for advance payment

1.    Go to Gateway of Tally > Accounting Vouchers > F5: Payment.

2.    Click V: Reverse Chrg. Adv. to mark the voucher for advance payment.

3.    Account: Select the bank to which the payment will be made.

4.    Select the party ledger enabled for bill-wise details.

5.    In the Advance Payment Details screen:

     All stock items are displayed when the party is an unregistered dealer.

     Only stock items which attract reverse charge (Is reverse charge applicable? is set to Yes in stock item master) are displayed when the party is a regular dealer.

Note: To select a ledger, click L: Show Ledgers.

   Only ledgers which attract reverse charge (Is reverse charge applicable? is set to Yes in ledger master) are displayed when the party is a regular dealer.

   When the party ledger is an unregistered dealer, all ledgers are displayed.

     Click F12: Configure and set the option:

o     Allow to provide rate of stock items? to Yes, to enter/alter the slab rate of the stock item.

o     Allow to provide quantity for calculation of cess on quantity? to Yes, to enter the cess rate and cess rate per unit.

o     Allow modification of tax details? to Yes, to override the GST and cess rates in the voucher.

6.    Select the Stock Item (goods enabled for GST) or Ledger Name (services enabled for GST), and enter the Advance Amount.

The Advance Amount appears as the Taxable Value, and the tax amount is calculated on this. The tax values shown in the Advance Payment Details is the amount on which you need to generate the liability in a journal voucher if the purchase invoice is not recorded within the return period.

The tax type appears as integrated tax or central tax and state tax, based on the state selected for the party ledger.

7.    Press Ctrl+A to save the Advance Payment Details screen.

8.    Select the type of reference as Advance and enter the reference details in the Bill-wise Details screen.

9.    Accept the payment voucher.

 

Journal voucher to raise the liability

To record a journal voucher to raise the liability

1.    Go to Gateway of Tally > Accounting Vouchers > F7: Journal.

2.    Click J: Stat Adjustment.

3.    Select the options as shown below.

4.    Debit the expense ledger or ledger grouped under Current Assets and credit the GST ledgers for the tax on advance receipt, as shown below:

5.    Press Enter to save.

The tax liability raised on the advance amount appears in GSTR-3B as shown below:

Refund Voucher

If the advance payment transaction is cancelled fully or partially, you can record it in a receipt voucher by marking it as a refund voucher.

To record a refund voucher

1.    Go to Gateway of Tally > Accounting Vouchers > F6: Receipt.

2.    Click F: Refund of Adv. Pymt.

3.    Select the bank Account.

4.    Select the party ledger enabled for bill-wise details. In the Refund Details section, the list of stock items are displayed for selection. To select a ledger, click L: Show Ledgers. Click F12: Configure and set the option:

     Allow to provide rate of stock items to Yes, to enter/alter the slab rate of the stock item.

     Allow to provide quantity for calculation of cess on quantity to Yes, to enter the cess rate and cess rate per unit.

     Allow modification of tax details to Yes, to override the GST and cess rates in the voucher.

5.    Select the Stock Item (goods enabled for GST) or Ledger Name (services enabled for GST).

6.    Enter the Refund Amount which is inclusive of GST. The break-up of GST amount gets auto calculated for Central TaxState Tax, and Cess, if applicable. The Refund Details section appears as shown below:

The Advance Amount appears as the Taxable Value, and the tax amount is calculated on this. The tax values shown in the Advance Payment Details is the amount on which you need to generate the liability in a journal voucher.

7.    Press Ctrl+A to accept and return to payment voucher.

8.    Select the type of reference as Agst Ref and select the reference details in the Bill-wise Details screen.

9.    Set Provide GST details? to Yes, and enter the Receipt No. and Date of the advance receipt.

10.  Press Enter to save.

11.  Click P: Print and set Print Refund Voucher? to Yes, as shown below:

The printed refund voucher appears as shown below:

Cancelling the liability to the extent of refund voucher

To reverse the tax liability

1.    Click J: Stat Adjustment in GSTR-3B report or from the Accounting Vouchers > F7: Journal.

2.    Select the options as shown below.

3.    Debit the GST ledgers and credit the expense ledger, or ledger grouped under Current Assets.

 
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
 
| Setup GST | GST Purchase | GST Sales | GST Adjustment | GSTR-1 Report | GSTR-2 Report | GSTR-3B Report | GST Report | GST Topics | Tally.ERP9 Book |