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Arrange the following steps of constructing Bank Reconciliation Statements in Tally in chronological sequence a) Bringing up the monthly summary of Bank Book. Bringing the cursor to the first month and pressing enter. b) The display becomes Edit Screen in Reconciliation mode. The primary components are A column for the ‘Bankers Date’ Amounts not reflected in banks and balance as per banks c) This Brings up the vouchers for the month. Since this is a bank account, an additional button F5: reconcile will be visible on the right Press F5 |
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