● Introduction to Tally and Company Setup
● Creating Ledgers and Stock Books
● Voucher Entries: Payment, Receipt, Contra, and Journal
● Managing Purchase and Sales Bills, Stock Journals
● Generating Financial Reports: Balance Sheet, Profit & Loss, Cash Flow, Fund Flow, Income Statement, Trial Balance
● Performing Ratio Analysis
● Customizing Tally for Business Needs
● Advanced Voucher Entries
● Managing Security Controls and User Access
● Data Management: Data Split and Control
● Hands-on Project Work with Real Bills and Vouchers