
Banking in TallyPrime has evolved far beyond manual ledger entries. It enables businesses to directly manage payments, automate reconciliations, track deposits, and even initiate e-payments to vendors. This guide covers every essential feature of Tallyβs banking moduleβstructured for practical implementation by businesses in India.
π§Ύ Basic Requirements to Use Banking in TallyPrime
Ensure the following setup before using banking functionalities in Tally:
- β Company is already created and open
- β Bank ledger is created with correct account type (savings, current, OD, etc.)
- β E-payment and auto reconciliation features enabled via F11 > Accounting Features
- β Internet access and proper bank authorisation (for e-payments)
- β Latest version of TallyPrime installed for banking plugins
β‘ Shortcut Summary for Banking in Tally
Action | Shortcut |
---|---|
Create Bank Ledger | Alt + C |
Reconciliation | F5 inside bank ledger β R key |
E-Payments Setup | Alt + G β E-payments configuration |
View Cheque Register | Alt + G β Cheque Register |
Generate Payment Advice | Alt + P β Print Voucher β Payment Advice |
π³ Step 1: Creating Bank Ledger in Tally
- Gateway of Tally β Accounts Info β Ledgers β Create
- Name: HDFC Bank Ltd
- Under: Bank Accounts
- Set βProvide bank details?β β Yes
- Enter:
- A/c Number
- IFSC Code
- Type of A/c (Current/Savings/OD)
- E-pay configuration (optional)
π§ Tip: Always match account names with passbook for seamless reconciliation.
π Step 2: Bank Reconciliation in Tally
πΉ Manual Reconciliation
- Gateway β Banking β Bank Reconciliation
- Select the required bank ledger
- Enter dates of clearance for each transaction as per the bank statement
πΉ Automatic Bank Reconciliation
- Download bank statement in .CSV format from net banking
- Go to Banking β Bank Reconciliation β Import Bank Statement
- Tally will match entries and auto-mark reconciled ones
π‘ You can view a summary of reconciled vs unreconciled entries in the reconciliation report.
πΈ Step 3: E-Payments Setup and Execution
E-payments allow direct bank transfers from within Tally via supported banks.
β Supported Banks for E-Payment
- HDFC, ICICI, Axis, SBI, Kotak, YES Bank (and more)
πΉ Enabling E-Payments
- Go to F11 β Accounting Features
- Enable βSet/Alter e-payments configurationβ
- Select your bank and enter authorisation details (user ID, etc.)
πΉ Creating E-Payment Vouchers
- Voucher Entry β Payment (
F5
) - Mode of payment: Bank Transfer
- Save the voucher
- Go to Banking β E-Payments β Select vouchers β Export file
You can upload this file to your bank portal for auto-processing.
π§Ύ Step 4: Cheque Book Management and Register
Track issued and cleared cheques with Tallyβs Cheque Register.
πΉ Setup Cheque Book
- Gateway β Banking β Cheque Printing β Cheque Book Management
- Enter:
- Bank name
- Cheque range (e.g., 100001β100050)
- Start date
πΉ Print Cheques
- Go to Voucher β Print β Select βPayment Adviceβ or βChequeβ
- You can configure layout as per bank format
πΉ Cheque Register
- Gateway β Banking β Cheque Register
- Monitor pending, cleared, or cancelled cheques
π Key Benefits of Using Tally Banking Features
90% Faster Bank Reconciliation
100% Accuracy in Payment Advice
E-Payments Integration with 10+ Banks
Real-Time Bank Ledger Updates
Cheque Register with Tracking Alerts
π Commonly Used Banking Reports in Tally
Report | Navigation | Purpose |
---|---|---|
Bank Reconciliation | Gateway β Banking β Bank Reconciliation | Track bank vs book differences |
Cheque Register | Gateway β Banking β Cheque Register | Monitor issued, cleared cheques |
Pending E-Payments | Banking β E-Payments | Track exported/unprocessed payments |
Bank Books | Display β Account Books β Bank Book | Ledger-wise transaction history |
π‘οΈ Security Controls for Banking Module
Tally offers layered user-level permissions to avoid manipulation.
Setup:
- Gateway β Alt + K (Company) β Security Control β Users & Passwords
- Define role permissions:
- View-only access for staff
- Approval needed for high-value payments
- Prevent voucher alteration post export
π Internal Links
- Learn about PAN Registration
- Understand TDS Compliance
- Explore Audit Trail Feature in Tally
- Know more about GST Registration
π External Link
β FAQs on Banking Features in TallyPrime
- Whatβs the minimum Tally version required for auto bank reconciliation?
TallyPrime Release 1.1 and above. - Can I upload bank statements in PDF for reconciliation?
No. Only.CSV
format is accepted for auto-reconciliation. - Is cheque printing supported for all Indian banks?
Most major formats are supported; customization is available. - How do I enable e-payments in Tally?
Enable viaF11
, then configure in e-payments setup screen. - Can I track bounced cheques in Tally?
Yes. You can mark cheques as dishonoured in the register. - Is there a limit on e-payments per day?
Limits depend on your bank portal and Tally export batch size. - Can Tally send email alerts for due payments?
Yes. Configure email settings underF11 > Features
. - Does cheque range auto-update when new books are issued?
You need to manually enter the new cheque range. - How secure is e-payment in Tally?
E-payment uses bank encryption and Tallyβs role-based access control. - Can I use UPI in Tally banking?
Not natively, but UPI payments can be recorded manually.
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