Daily Bookkeeping in Tally -- 2
Budget: ₹12,500 – ₹37,500 INR
I need all of my transactions recorded and reconciled on a daily basis inside Tally. This includes entering sales, purchases, expenses, receipts, and any journal adjustments, then balancing each ledger so I can see accurate cash flow and profit snapshots at the close of every business day.
Bank and card feeds have already been exported, so the job centres on clean data entry, matching, and producing up-to-date reports—trial balance, P&L, and balance sheet—without waiting for month-end. I’ll provide online access to statements as well as a brief chart-of-accounts guideline; you keep everything current, flag discrepancies the same day, and back up the file before logout.
Strong familiarity with Tally’s voucher system and shortcuts is essential. If you also know how to automate import templates or customise Tally reports, mention that; it would streamline our workflow further.
Deliverables are simple: the Tally data file updated every day, plus a short note highlighting any outstanding issues or missing documents. Consistency and accuracy matter more than volume—an error-free set of books each night is the finish line
Bank and card feeds have already been exported, so the job centres on clean data entry, matching, and producing up-to-date reports—trial balance, P&L, and balance sheet—without waiting for month-end. I’ll provide online access to statements as well as a brief chart-of-accounts guideline; you keep everything current, flag discrepancies the same day, and back up the file before logout.
Strong familiarity with Tally’s voucher system and shortcuts is essential. If you also know how to automate import templates or customise Tally reports, mention that; it would streamline our workflow further.
Deliverables are simple: the Tally data file updated every day, plus a short note highlighting any outstanding issues or missing documents. Consistency and accuracy matter more than volume—an error-free set of books each night is the finish line