Know the latest features offered in TallyPrime Releases along with the product improvements that will make your journey even more delightful. Release Notes will give you an overview of the latest updates done in the product, which will help you make a decision about upgrading to the latest TallyPrime Release. You will also get to know the updates that address the market changes with respect to taxation, technology, and social needs.
TallyPrime Release 5.1 introduces a suite of powerful enhancements to simplify compliance and elevate the efficiency of your business.
You can also read the Release Notes in हिन्दी, বাংলা, ગુજરાતી, मराठी, తెలుగు, മലയാളം, தமிழ், and ಕನ್ನಡ.
With TallyPrime Release 5.1, you can resolve GST-related conflicts between Masters and Transactions effortlessly. Enjoy seamless compliance management as you identify, resolve, and track discrepancies with ease, ensuring your data stays accurate and up-to-date!
While migrating from TallyPrime Release 2.1 or earlier versions to Release 5.1, in the Migrate Company Data screen, you can:
You can now export the GSTR-1 return for multiple periods into a single Excel file. If there are multiple GST registrations in a single company, you can select a specific GST registration or all registrations and export the return at one go.
The HSN/SAC Summary view is now available in a consolidated period-wise report within the Annual Computation report.
Transactions rejected due to an inactive GSTIN can now be bulk converted from B2B to B2C with a single click.
Previously, when accepting a mismatch in information (Accept as is), the voucher would appear as an Uncertain Transaction after being re-saved without making any changes. This issue has now been resolved, ensuring the voucher is recorded correctly without any status change.
Previously, GST was not being calculated correctly when a Service Ledger was selected. This issue has been resolved, ensuring accurate GST calculations when using a Service Ledger.
Previously, recording bank charges with GST often caused errors in GSTR-2A, GSTR-2B, and GSTR-3B reports because bank ledgers were set as Unregistered/Consumer by default. Now, when you enter a transaction with both bank and GST ledgers, you can select the correct Registration Type with a new transaction experience. If you continue with Unregistered/Consumer, the transaction comes under a new Uncertain Exception offering clearer guidance for the resolution.
Report missing invoices or claim ITC based on whichever of the following comes first:
Credit notes for sales can be issued until the earlier of the following:
Previously, advance receipts and payments could only be adjusted within 18 months; now, adjustments are allowed for an indefinite period.
Previously, Reconciliation was based on a rate-wise comparison of the Taxable Amount and Tax Amount. Starting TallyPrime Release 5.1, Reconciliation will happen using the consolidated Tax Amount as per the latest GSTR-2B version.
Previously, in the case of multi-registration, the GST registration master could not be deleted, even after removing its transactions. This issue has now been resolved.
In GSTR-1, CMP-08, GSTR-3B, e-Way Bill, and e-Invoice upload preview reports, the option Send now appears as Send (Online) and Export as Export (Offline). These changes make it easier to distinguish between online and offline actions.
Previously, when you converted any Debit Note or Credit Note into Sales and Purchase vouchers, respectively, they continued to appear under the Credit Notes/Debit Notes section of the GSTR-1 report. This issue is resolved. Such transactions will now correctly appear under the respective sections.
Previously, when attempting to use the Undo Filing option in GSTR-1 or GSTR-3B reports, an error would occur stating, One or more transactions have been modified by another user. Check the data and try again. This issue has now been resolved.
Previously, e-Way Bills for export invoices were rejected if the Ship To details included a non-Indian state and lacked the pincode of an Indian port. This issue is now resolved. You can generate e-Way Bills and e-invoices for exports by selecting a valid Indian state and the pincode of the Indian port from where the goods will be exported.
You no longer need to manually enter the distance between origin and destination pincodes while generating an e-Way Bill. TallyPrime will automatically fetch the distance and print in the e-Way Bill. This is applicable only when the Pin to Pin Distance as per Portal field is blank or the distance information is unavailable.
You can now generate e-Way Bills for both Material In and Material Out vouchers. This feature is particularly useful when shipping materials between the principal and job worker for manufacturing purposes.
The FVU Tool Version 8.6 released by Protean Department includes an updated file format for e-returns. With TallyPrime Release 5.1, you can export the expected values of Salary Details (SD) and Standard Deduction directly into the Payroll ITeTDS.txt file.
Previously, Provident Fund (PF) contributions were included in the Payroll ITeTDS.txt file export, regardless of the tax regime chosen. Now, with the latest changes to the FVU format, PF contributions are now excluded from the export for employees under the New Tax Regime.
Previously, Professional Tax and Chapter VI-A deductions were included in the ITeTDS.txt file, even for employees under the New Tax Regime. Now, as per the latest FVU format, these deductions are no longer included for such employees.
Previously, the Rate (Incl. of Tax) column was missing in the Display Mode of vouchers and during multi-voucher printing. This issue has now been resolved.
We’ve made it easier to resolve licensing issues! Just click Get Help to access simple solutions on TallyHelp, available in both English and Hindi. Additionally, a new help icon in the GSTR-1, GSTR-3B, and CMP-08 upload preview reports lets you quickly find instructions and videos on TallyHelp.
We’d love to hear your feedback! If you found the instructions useful, please click the button at the bottom of the TallyHelp screen and leave your comments. Your input helps us improve and serve you better. Thank you!
Previously, the Stock Item Additional Description in invoices was difficult to read as it appeared compressed. In Release 5.0, this description was printed across multiple lines for better readability but resulted in increased page consumption. This issue has been resolved. From TallyPrime Release 5.1 onwards, the Additional Description will be printed in a single line, making optimal use of the Description of Goods section in the invoice, ensuring both clarity and efficient space utilisation.
Previously, Saudi Riyals was printed before the Amount in Arabic in the Bilingual Invoice format – 2. Now, it will be printed after the Amount as per the practice followed in Saudi Arabia.
Previously, Faqat was missing beside the Amount in Arabic in the Sales Vouchers for Single – Arabic – Format-1 and Format-2. This is now resolved. Now, Faqat will appear beside the Amount in Arabic.
Previously, the Amount in words in vouchers was displayed and printed in English, regardless of the selected display/print language. Starting TallyPrime Release 5.1, the Amount in words in vouchers will be displayed and printed in Arabic when the display/print language is set to Arabic.
Previously, the Display Language option for Arabic was listed as Arabic (Saudi Arabia). From TallyPrime Release 5.1, the option will simply appear as Arabic.
Indian users can easily upload and file GST returns with Connected GST, automate tax calculations under TDS Section 194Q, and manage Tally Plug-Ins directly from TallyPrime.
Users in the Middle East and Bangladesh can benefit from TallyPrime in their native language, with the option to use the preferred language on different computers in a network.
You can sort bills your way, enjoy clearer invoices and reports with Stripe View, and get instant notifications for important tasks.
There are significant product improvements as well.
You can also read the Release Notes in हिन्दी, മലയാളം, বাংলা, ગુજરાતી, ಕನ್ನಡ, and తెలుగు.
Welcome to an effortless GST compliance experience. Balancing your books with GST requirements is now easier than ever, all within the existing flow of TallyPrime.
The best part is that you can choose from the best of both worlds, that is, Connected GST as well as the existing offline features, as per your convenience.
You can now easily maintain your B2CL transactions as per the latest Threshold Limit, which is reduced from Rs 2.5 lakh to Rs 1 lakh (vide Notification No. 12/2024 – Central Tax).
You only have to set the Effective Date for your transactions, after which they will appear seamlessly in the B2C (Large) Invoices – 5A, 5B section of GSTR-1.
Experience a hassle-free deduction of tax to comply with the Finance Bill’s Section 194Q for TDS purchases of goods. This includes:
Tally Plug-Ins developed by Tally Solutions come with additional capabilities for specific business needs that extend beyond the existing features of TallyPrime. Get easy access to Tally Plug-Ins, such as TallyCapital, which will be available to customers of TallyCapital partners. Know about the plug-ins, check plug-in statuses, and more from the new Tally Plug-In Management report.
Use the TallyCapital plug-in to check your credit score, check your loan eligibility, and apply for a business loan, whenever you need one. Get in touch with your Tally Partner to know more.
TallyPrime now supports Arabic with enhanced features, which provides users with an enriched experience.
You can also make use of the existing flexibility, where you can use TallyPrime in English and record transactions and create masters in English or Arabic. As always, you can print invoices in the respective language or in bilingual as per the need.
Navigate and operate TallyPrime in Arabic and enjoy accounting with the power of simplicity. To know more about this feature, refer to Use TallyPrime in Your Preferred Language.
TallyPrime now supports Bangla, enhancing the ease of usage, especially among native speakers.
Navigate and operate TallyPrime in Bangla and enjoy accounting with the power of simplicity. To know more about this feature, refer to Use TallyPrime in Your Preferred Language.
TallyPrime Release 5.0 offers an efficient payment management system that enables sorting of pending bills. Now make payments promptly in the order of due dates, with the oldest bill being settled first. Thereby, this reduces the risks of late fees and penalties. You can also sort the bills based on other fields like Bill Date, Balances, and so on, as per your business practices.
TallyPrime introduces Stripe View that is designed to improve readability of entries in reports with large volume of data, by highlighting alternating rows. You can also use Stripe View for all vouchers & reports, or for only specific ones. Use stripes while printing, exporting or sharing documents from TallyPrime, as and when you need to.
Enjoy an enhanced notification experience in TallyPrime 5.0. The Bell icon and the Notifications report are designed to notify you about critical tasks such as TSS renewals, License management, and TallyPrime upgrades. Similarly, Indian users can stay informed about GST uploads, downloads & Return filing.
You can now:
Moving your Company data from TallyPrime Release 3.0 or later to Release 5.0 does not require any migration. Simply take a backup & load the data, and continue with your day-to-day business activities. TallyPrime updates the data version, which prevents you from loading the same data in any earlier versions of TallyPrime.
TallyPrime 5.0 comes with updated income tax slabs for employees under the New Tax Regime.
As per Finance (No. 2) Bill for 2024-25, employers can now:
Edit Logs for Price Level and Bank Reconciliation led to excessive increase in data size. This issue is resolved.
While sharing Payment or Receipt vouchers, the WhatsApp No. of the recipient will now be automatically filled from the party ledger.
Bulk data processing is now faster and more reliable than ever, without any risks of data corruption. This includes processes such as Import, Synchronisation, Bank Reconciliation, and so on.
Moreover, you can easily update the Supplier Invoice No. and Date by drilling down to the transactions in the relevant sections and reconciling them.
In the party ledger, under MSME Registration Details, you can now set the Activity Type of the enterprise as Manufacturing, Services, or Traders.
This helps in better tracking and settling of Outstanding Bills based on the Activity Type.
You can now enjoy cost-effective printing of invoices.
The optimised invoice printing feature reduces the repetition of headers and utilises maximum space in each page for the invoice details.
TallyPrime and TallyPrime Edit Log Release 4.1 bring great delight to you with the following offerings:
You can also read the Release Notes in हिन्दी, ગુજરાતી, मराठी, বাংলা, తెలుగు, മലയാളം, ಕನ್ನಡ, and தமிழ்.
MSME
With the new MSME feature, both MSMEs and businesses trading with MSMEs can identify MSME status and track pending bills for timely payments. Moreover, buyers from MSMEs can quickly file their Form MSME 1 with complete details of overdue MSME payments. Further to comply with 43b(h) of income tax act, a buyer can instantly generate the list of bills.
Registered MSME Businesses can:
Businesses trading with MSMEs can:
Details of Online Sales Through e-Commerce Summary Report
For businesses doing online sales through e-Commerce operators, such as Amazon, Myntra and Flipkart, some changes have been introduced in GSTR-1, related to the reporting of online sales.
To support these changes, TallyPrime Release 4.1 has come up with an e-Commerce Summary to highlight:
Thereby, this report will help you in easily entering the relevant details on the GST portal.
TallyPrime and TallyPrime Edit Log Release 4.0 bring great delight and joy to you with the following:
Furthermore, the product improvements in the modules such as GST and Payment Request coupled with the facility to print previous and current balances in the Invoice and other enhancements make your experience with TallyPrime all the fruitful.
You can also read the Release Notes in हिन्दी, ગુજરાતી, मराठी, বাংলা, తెలుగు, മലയാളം, ಕನ್ನಡ, and தமிழ்.
TallyPrime Release 4.0 comes with new and exciting features that will make your experience even more delightful.
Considering the importance of seamless and efficient communication between businesses and their stakeholders, TallyPrime Release 4.0 brings to you the power of instant communication via WhatsApp for Business. This helps you take advantage of the technology advancements and experience enhancements in communication that rule the market.
Businesses can send documents directly from TallyPrime to one or more parties or stakeholders in a single click. Consider that you just closed your books for the quarter. You can send digitally signed financial statements to your investors and key stakeholders on WhatsApp. Similarly, you can send invoices and reminder letters to your parties via WhatsApp and get responses from them via WhatsApp. This will help in managing the cash flow better as the communications are instant.
If your business is in India, your domestic parties also get the flexibility to click the payment URLs in invoices and reminder letters sent via WhatsApp to make instant payments.
WhatsApp is now seamlessly integrated with TallyPrime. You can sign up with WhatsApp for Business from TallyPrime, and send documents to one or many parties or stakeholders at one go. While TallyPrime retains the facility to send documents through e-mail, no more worries about when the receiver would see any mail and act on it.
Manual data entry for high volume data is a nightmare for any business. Manual entry is time-consuming and error-prone. To address this, TallyPrime Release 4.0 provides seamless import from MS Excel. This is in addition to the existing option to import XML files.
As you might have experienced, many software products allow export of data to Excel. This enables you to get data in Excel workbooks, and import to TallyPrime.
What’s in store:
You can use Dashboards in TallyPrime for analysing business information using intuitive formats. Apart from the Sales and Purchase dashboards provided by default, you can create different dashboards. Based on your needs, you can include different reports as separate tiles, configure each tile as needed to cater to diverse requirements, and interact with each tile. Whether you’re a business owner, finance manager, or consultant, Dashboard empowers you to make data-driven decisions that fuel growth and success. You can use the graphs/charts in different tiles to monitor your cash flow, track revenue trends, analyse expense patterns, and gain a comprehensive view of your financial position and ledger balances for periods of your choice.
Dashboard in TallyPrime offers flexibility to:
You can now print an invoice for a party with the Previous and Current Balances, as applicable at the time of printing.
This hugely helps in ledger reconciliation, as the party can check the balances and compare with that in their books. Thereafter, they can address the discrepancies, if any.
QRMP dealers can now export GSTR-3B for a quarter in a single JSON file and then upload on the GST portal to file GSTR-3B.
When you drill down from the Input Tax Credit Available section and view vouchers Party-wise, you will also get to see the party GSTIN/UIN.
Exploring TallyEdge – your go-to account aggregator – is all the easier now, as you can head on to explore it through the Exchange menu in TallyPrime.
Exploring TallyPrime Powered by AWS is all the easier now, as you can know about it from the Help menu in TallyPrime.
You can now export the following return reports according to the latest FVU Tool 8.2:
The count of cancelled vouchers of all the months will be included in the GSTR-1 Document Summary, when you cancel one or more Sales Invoices.
You can now add GST ledgers in the RCM purchase vouchers and purchases from the URDs, and rest assured these vouchers will be included in the returns.
Updation of GST Amount in vouchers is a surety, even if you override the GST Rate.
Even if the option Use common ledger for item allocation configuration is set to No, you will now be able to seamlessly override the GST Rate, and the GST Amount will get updated.
The GSTIN/UIN will now get printed in Job Work Out Orders.
The experience of exporting an MS Excel or CSV of GSTR-1 HSN Summary is a lot better now.
The Total Value field will now be displayed with the total GST amount, even when you export GSTR-1 HSN Summary as an MS Excel or CSV file.
Previously, when a transaction was included in two different sections, the Taxable and Tax Amount got doubled.
Viewing GSTR-3B in Nature View is a lot smoother now, as you will be able to view the correct Taxable and Tax Amount.
The vouchers recorded for Import of Services that are exempt from taxes will now get included only in the 4 A. Input Tax Credit Available section and will not be a part of the 3.1d. Inward Supplies (applicable for Reverse Charge) section.
The export of GSTR-1 from TallyPrime is now seamless, even when the data was imported from another software.
You can now record more than one purchase vouchers with the same Bill of Entry No., and the transactions will get included in returns.
You can now upload vouchers with stock items where the Unit of Measurement is not applicable with the following facilities:
Voucher creation with GST-related information is a lot smoother now, as you will not face any challenges or errors during voucher creation.
HSN/SAC, Description, and Party GSTIN were not part of the MS Excel file when exported through ODBC.
This issue is resolved.
TallyPrime will now continue to run smoothly when you open GSTR-1 and GSTR-3B, even when the length of HSN/SAC in transactions exceeds 1024 characters.
If you are using TallyPrime Release 2.1 or earlier, you will now be able to seamlessly migrate your Company data to TallyPrime without memory-related errors, such as those occurring due to the following reasons:
However, if you are working on TallyPrime Release 3.0 or 3.0.1, then you will not need to perform the process of migration. You can just load your Company data in TallyPrime Release 4.0 and continue your work.
Your buyers will now be able to alter the Amount and make partial payments, when you send the Payment Request through UPI.
The QR Code for Payment Request will now get generated even if the transaction is recorded with the Cash ledger.
You will now be able to print QR Code for Payment Request in the Simple Invoice format, even when GST is disabled under F11 (Company Features).
When you create a voucher, TallyPrime will now prompt you to generate the payment link prior to printing.
This will happen when Generate payment link/QR Code after saving voucher and Print voucher after saving are enabled in the Voucher Type master.
Generating the payment link prior to printing ensures that the print has both – the payment link and QR Code – for Payment Request.
e-Invoice generation is a lot more seamless now, as you can now successfully generate an e-Invoice in the following scenarios:
Moreover, you will not face the The ValDtls field is required error when you generate an e-Invoice for the sale of goods or services.
Multi-invoice printing with QR Code is flawless now.
When you print multiple Sales Invoices, all the invoices will now have the QR Code.
When you had enabled the printing e-Way Bill with e-Invoice (under F12 in the Invoice configuration), the configuration applied only to one invoice.
The configuration will now be applied to all the invoices, even if you shut TallyPrime or load a different Company.
In the client computer of a multi-user environment, the time taken to select the Order No. of the party while creating a Delivery Note was more than expected.
With the enhanced performance, you will be able to select the Order No. in a jiffy.
When you download a Sales Invoice from a browser, the title of the invoice changes from Tax Invoice to Bill of Supply.
The title of the Sales Invoice will now be retained as Tax Invoice, when you download it from a browser.
Marginal Tax Relief is now applicable only to the employees who have opted for the New Tax Regime with taxable income between Rs. 7,00,000 and Rs. 7,27,777.
When you used a ledger created under a sub-group such as Fixed Assets, the GCC VAT details were not retained.
You will now have a smoother experience in creating invoice with the GCC VAT details, as irrespective of the ledger and its sub-group, the GCC VAT details will be retained.
TallyPrime Release 3.0.1 comes with stellar enhancements in your overall e-Invoicing and GST return filing experience.
The e-Invoice report will help you resolve many more issues in a quick and easy manner, which will lead to minimum rejections on the portal. And on the GST front, there are improvements in export and HSN/SAC that will make your experience even happier.
You can also read the Release Notes in हिन्दी, ಕನ್ನಡ, বাংলা, తెలుగు, മലയാളം, தமிழ், and ગુજરાતી.
If you are using customisations in TallyPrime, then it would be best to contact your partner before upgrading to the latest release.
If you are working in a multi-user setup, then first upgrade on the server and then on the client.
The e-Invoicing feature comes with the following enhancements that will remarkably improve your e-Invoicing experience.
You can now find out with greater ease if there are any issues or missing details for generating e-Invoices.
The e-Invoice report will help you make the necessary corrections right here in TallyPrime, and prevent rejections on the e-Invoice portal.
Accordingly, you can now easily resolve the following issues from Uncertain Transactions:
Refer to the e-Invoice Reports section of the e-Invoice – FAQ topic for more information.
You can now seamlessly handle e-Invoicing with Billed Quantity and Actual Quantity.
There won’t be any issues in e-Invoice generation even when the Billed Quantity exceeds the Actual Quantity in your transactions.
Generating e-Invoices for foreign parties is a lot smoother now.
There won’t be any issues in e-Invoice generation, even when you are providing a service to a party located out of India and billing a local or interstate party.
The Dispatch From details will now be displayed with better clarity, while recording e-Invoice transactions.
You have to enable the Provide Dispatch From details option only once, after which you can easily view and update the details in subsequent transactions.
The generation of e-Way Bill along with e-Invoice is now easier.
You can seamlessly generate e-Way Bill for credit notes and for transactions below the threshold limit.
Handling UoMs in e-Invoicing is a lot smoother now.
You can seamlessly generate e-Invoices for goods and services, even when UoM is not used.
Is your party GSTIN/UIN the same as your company GSTIN/UIN? No problem! Now you can seamlessly upload such transactions on the portal.
You only have to go to Uncertain Transactions and accept the relevant transactions in the Party GSTIN/UIN is the same as Company GSTIN/UIN section. Your transactions will be ready for upload.
Refer to the e-Invoice Reports section of the e-Invoice – FAQ topic for more information.
The GST module comes with the following improvements that will enhance your return filing experience.
If the annual turnover of your business is less than 5 crores, then HSN/SAC details are optional. Accordingly, TallyPrime provides you with the awesome flexibility to accept such transactions (from Uncertain Transactions), and consider them as included.
Filing GSTR-3B using JSON is a lot smoother now.
The GSTR-3B JSON exported from TallyPrime will now contain the details of all the sections and transactions. Even the zero-valued sections will be seamlessly exported, so that you can update the values on the portal, as needed.
With easier data analysis using report filter, facility to send payment requests to your customer, and better data management experience, TallyPrime Release 3.0 brings you a diverse range of useful features. What’s more, with the enhanced features for GST, including the easier experience for GSTR-1, GSTR-2A, and GSTR-2B reconciliation, the product exudes simplicity and delight for you in every way.
Additionally, the Income Tax Computation report is updated with the latest income tax slab rates, as per Finance Budget 2023-24.
You can also read the Release Notes in हिन्दी, ગુજરાતી, বাংলা, తెలుగు, മലയാളം, ಕನ್ನಡ, and தமிழ்.
TallyPrime and TallyPrime Edit Log Release 3.0 have made your GST experience a thing of delight and comfort.
The product now has the facility of maintaining a single Company data with multiple GST registrations, while enabling you to record transactions and view report for any specific GST registration or all GST registrations. It eases the process of recording GST transactions with automatic tax liability calculation for all transactions and enhanced tax analysis experience.
The facility to specify GST Rate and HSN/SAC Details separately in masters and the simple experience in overriding the values make recording GST transactions even easier for you.
The product takes care that your GST Return reports get updated as per the values specified in the transactions, without having the need to create Journal Vouchers to raise Tax Liability and claim Input Tax Credit. However, you have the flexibility to follow the process of recording Journal Vouchers, if needed.
Moreover, you can reconcile transactions of GSTR-1, GSTR-2A, and GSTR-2B with great ease. The facility to reset GST-related data enables you to erase the GST data imported from the GST portal for reconciliation, in case of mismatches in GST details. You can then re-enter values to match with the GST portal data, and then re-import the portal data to reconcile transactions.
TallyPrime now comes with the Payment Request feature that will help you easily generate and share payment links and QR codes (using Payment Gateway or UPI). This feature will also empower your parties to settle the payments with you, instantly and conveniently.
In addition to that, Data Exchange supports exporting and importing of transactions of a specific or all GST registrations, as needed.
You can now gain the information you need and analyse your business data at a greater speed, as the all-new report filters are here to assist you in quick access to the required details in reports – all at your fingertips and within few clicks.
Data management activities such as migration, repair, and import will be all the smoother, as you will get to know the stages of the process, while a summary report informs you about masters and vouchers before the initiation and after the completion of process. On the other hand, identifying and resolving errors that occurred during the process is all the simpler.
If you are a TallyPrime Edit Log user, then you can download TallyPrime Edit Log Release 3.0.
Multiple GST registrations in a single Company data brings in a simpler GST Return-filing experience, as you can file GST Return for each GST registration separately using GST reports of a single Company data. It saves you from the trouble of maintaining different Company data for different GST registrations. This, in turn, saves a great deal of time, as you can work to prepare for GST Returns of each GST registration in a single Company data.
With the facility of maintaining all your GST registrations in a single company, you can now:
Additionally, you can deactivate a specific GST registration in case of suspension or surrender. And you have the flexibility to reactivate the GST registration, whenever required.
To know more, refer to the Enable GST for Your Company – Single and Multi-Registration section in the Getting Started with GST in TallyPrime topic or watch the How to Use Multiple GST Registrations Feature in TallyPrime video.
You can also easily merge Companies with different GST registrations in TallyPrime.
To know how to do, refer to the Merge Companies with Different GSTINs topic or watch the How to Merge Companies with Different GSTIN/UINs in TallyPrime Release 3.0 or Later video.
You now have the flexibility to specify and update the details related to GST Rate and HSN/SAC separately in different types of masters, as needed. Updating GST registration details of a party has also become simpler. Furthermore, you can specify slab rates in any master – be it stock item, stock group, ledger, or group, as needed.
Entering GST Rate and HSN/SAC details has become all the easier, as you can enter those details in separate masters, as per your requirement. On the other hand, the facility to override the details during voucher creation imparts great flexibility.
To know more, watch the How to Set Up GST Rate Details at Different Levels in TallyPrime and How to Configure Ledgers for GST in TallyPrime videos.
You can now:
To know more, refer to the Set Up GST Rates and HSN/SAC Details section in the Getting Started with GST in TallyPrime topic.
You can now update the GST Registration Details (such as GSTIN and Registration Type) and Mailing Details (such as Address, State, or Country) for a registration in the masters in such a way that there will be no impact on:
What’s more, with the newly introduced facility to check the history of updates in GST Registration Details, you can now know:
To know more, refer to the Update GST Details in Party Ledgers section in the Getting Started with GST in TallyPrime topic or watch the How to Update Party GST Registration in TallyPrime Without Affecting Earlier Returns video.
For items or services with varying GST rates for slabs of different amounts, you can now specify slab rates not only in Stock Items but also in the Stock Group, Ledger, and Company, as needed.
To know more, watch the How to Specify Slab-Based GST Rate Details in Masters in TallyPrime video.
Calculating tax in transactions has become all the easier, as TallyPrime considers GST rate and HSN/SAC details provided in the respective masters, while you can simply override the details during voucher creation, as needed.
With TallyPrime Release 3.0, you can now:
Apart from the above-mentioned facilities, you can also:
What’s more, if you change a value that affects GST Returns, then TallyPrime will prompt you at the time of re-saving the voucher, so that you can take one of the following decisions:
In case of multiple GST Registrations, you can set a default GST Registration for a specific Voucher Type.
For instance, if you record all Journal Vouchers for a specific office or location, then you can set the GST Registration of that location in the Voucher Type as the default one.
Subsequently, when you create the voucher, the default GST registration will be the one chosen in the Voucher Type, thereby saving time consumed in switching between the GST registrations.
For Voucher Types with Automatic or Multi-user Auto method of voucher numbering, TallyPrime retains the original voucher number in case of voucher insertion or deletion.
This ensures that the voucher numbers of transactions remain intact despite insertion or deletion.
However, you can choose to renumber vouchers at the time of voucher insertion or deletion, if you follow the practice in your business.
To know more, watch the Voucher Numbering Behavior in TallyPrime video.
For Companies with multiple GST registrations, you can create voucher numbering series for each registration and Voucher Type, so that there is no conflict of same voucher numbers in your data and also in the Returns.
To know more, refer to the Create Voucher Numbering Series section in the Getting Started with GST in TallyPrime topic.
TallyPrime Release 3.0 enables much faster opening of GST Returns for your immediate reference. Moreover, filing GST Returns becomes all the simpler as GST reports such as GSTR-1 and GSTR-3B are enhanced, so that you can easily:
The experience of reconciling your transactions in GSTR-1, GSTR-2A, and GSTR-2B with the transactions of your suppliers has become further simpler. This ensures that the information in your books matches that on the GST portal. Moreover, the facility to identify potential matches to unreconciled transactions in your books adds to the ease of the reconciliation process.
You can now:
What’s more, for transactions that are on the portal and not in the books or vice versa, TallyPrime helps you identify those with matching values but different Document Nos., party GSTIN/UINs, or sections of the Return. This further helps you to speedily reconcile the transactions.
To know more, refer to the Reconcile GSTR-1 Data, Reconcile GSTR-2A Data, and Reconcile GSTR-2B Data topics.
Finding required information and data analysis has become all the faster, easier, and delightful with a versatile facility for applying filters that is:
In a report, you can now:
What’s more, you can save the view of a report in which you have applied the filters and refer to the filtered information quickly.
To know more, refer to the Apply Filter in Reports in TallyPrime topic or watch the How to Apply Filters to Reports in TallyPrime to Find Information Quickly video.
TallyPrime now comes with the Payment Request feature that will help you generate and share payment links and QR codes (using Payment Gateway or UPI) in a jiffy. This will also empower your parties to settle the payments with you, instantly and conveniently.
Payment Request comes loaded with the following features, and more:
Instant Payment Request: Once you have completed your setup, TallyPrime will help you instantly generate and send payment links and QR codes. All in the flow of your regular business!
We understand that your business might have special requirements with respect to payment, and accordingly, TallyPrime provides you with numerous flexibilities to cater to your needs.
Seamless reconciliation: TallyPrime provides the icing on the cake by facilitating a smooth reconciliation of all your Payment Requests.
The Payment Reconciliation report will provide you with a neat summary of the unreconciled as well as reconciled transactions.
Data security: We understand that the safety of your financial data is paramount for your business, and we have taken the utmost measures to ensure that your data remains absolutely secure.
We have partnered with prominent Payment Gateways to provide you with the best-in-class security policies, and we want you to rest assured that your payments are in safe hands.
Refer to the Payment Request in TallyPrime topic to know more.
The improved data management facilities not only ensure that the migration to the release is seamless but also delight you with enhanced simplicity in migration, repair, import, and synchronisation. You can also view the progress of the activity in detail and resolve the exceptions, if any.
The status against the Companies will promptly let you know if a Company needs to be migrated or repaired.
Right from the verification of masters and transactions to the successful migration or repair of your data, the enhanced process keeps you abreast of the progress.
At the end of data Migration or Repair, you can view a summary with the total vouchers and masters before and after the completion of the process.
This helps you know if there is a loss of data during the process.
To know more, refer to the Migrate Company Data and Repair Company Data topics or watch the How to Migrate Company Data to TallyPrime Release 3.0 video.
At the end of migration, repair, import, or synchronisation, you can easily:
What’s more, you have the flexibility to resolve exceptions at the end of the process or later, as per your convenience.
To know more, refer to the Data Exceptions & Resolutions in TallyPrime topic or watch the How to Resolve Exceptions During Import, Repair, Migration, and Synchronisation in TallyPrime video.
When your imported GSTN data gets corrupted or the data is accidentally imported, it might cause problems in reconciliation.
However, TallyPrime now provides you with the facility to reset the imported GSTN data, which will erase the corrupted GSTN data, while keeping your book data intact.
Thereafter, you can again import the JSON file of GSTR-1 or GSTR-2A downloaded from the portal and continue to reconcile your transactions.
You can now connect or disconnect multiple companies for online access using a single screen, thereby saving time that was consumed in selecting companies one by one.
This is especially useful for businesses that have multiple companies that you may need to connect online for remote working, synchronisation or browser access.
To know more, refer to the Connect Companies to Tally.NET services section in the Remote Access in TallyPrime topic.
As per Finance Budget 2023-24, the latest income tax slab rates are introduced for the employees who have opted for the new tax regime.
In TallyPrime, the Income Tax Computation report, Annexure II to 24Q, and Form-16 are updated with the following:
What’s more, for employees with the regular tax regime, the taxable income slabs are updated with definite values for better clarity and understanding of tax calculation.
For Composition dealers, Tax Analysis is now available in purchase vouchers.
In case of Automatic (Manual Override) voucher numbering method, when you made a voucher optional or deleted it, the subsequent vouchers got numbered as per the voucher number of the optional or deleted voucher.
You can now easily set or alter numbering details and alter the last entered voucher number, so that the future vouchers are numbered accordingly.
All the vouchers with duplicate voucher numbers or supplier invoice numbers can now be identified under Duplicate Voucher No. in the Uncertain Transactions (Correction Needed) section.
You can then make the necessary corrections before filing Returns.
When you changed the date of a voucher, the Voucher No. and Reference No. also got changed.
You now have a facility to retain voucher numbers when your method of voucher numbering is Automatic or Multi-user Auto.
In GSTR-1 and GSTR-3B, you could not track advance receipts from unregistered dealers or consumers.
This issue is resolved.
You can now add Place of Supply in purchase vouchers such as those recorded for:
Sales recorded against advance received in previous periods did not appear in GSTR-1 and GSTR-3B.
This issue is resolved.
A few GSTINs were considered as invalid, even if they were perfectly valid.
This issue is resolved.
In a purchase voucher, when you changed the Place of Supply in the Party Details screen, GST was still getting calculated as per the State entered in the party ledger.
GST will now be calculated according to the Place of Supply specified in the voucher.
When you altered a sales invoice and changed the Party ledger to Cash, the Registration Type of the party changed to Unregistered and the GSTIN/UIN got removed from the Party Details screen.
Now, when you change the party ledger, you can choose to either retain the original details from the ledger or update the information.
For Composition dealers, the values of some stock items appeared incorrectly in the Stock Summary.
This happened when you recorded a purchase voucher with stock items having different GST rates, and then added CGST and SGST ledgers created for the respective GST rates.
This issue is resolved.
When you recorded a sales invoice with multi-currency, CGST and SGST as displayed in Tax Analysis did not appear in print preview.
This issue is resolved.
For the Ledgers created under Provisions, the Natures of Transaction related to purchase were not available.
You can now select purchase-related Natures of Transaction for ledgers created under Provisions.
RCM purchases of items that are not eligible for Input Tax Credit (ITC) did not appear in the D. Ineligible for Input Tax Credit section of GSTR-3B.
This issue is resolved.
Composition dealers can now configure GST Details in Stock Group.
This helps to group multiple Stock Items with a common GST rate under a Stock Group, and provide GST details.
Composition dealers can now specify the MRP Rate in a Stock Item.
SGST and CGST were getting incorrectly calculated in sales invoices when discount was applied using voucher class.
This issue is resolved.
Vouchers with certain Ledgers were not included in any GST Return.
This happened when the vouchers had a ledger created under a Primary group with nature of the group as Income/Expense.
This issue is resolved.
The Provide GST/e-Way Bill details option was not available in Sales invoice when you worked on a Company connected through remote access.
This issue is resolved.
When you recorded a Debit Note, it appeared twice in the Document Summary – under Invoices for Outward Supply and Debit Note.
The issue is resolved, as it will now appear only under Debit Note.
Debit Note (Purchase Return) and Credit Note (Escalation in Purchase Price) transactions will now be considered in Document Summary.
After alteration, some sales invoices moved from B2B Invoices to B2C Invoices in GSTR-1.
This happened when you added another address in the party ledger and then altered the invoice. As a result, the Registration Type of the party changed to Unregistered.
This issue is resolved.
When you drilled down to the Nature of Transaction, Taxable value, rate of tax modified in voucher section from Uncertain Transactions (Corrections Needed) of GSTR-1, you could not select multiple invoices to resolve or accept as is.
This issue is resolved, as you can select multiple invoices and resolve or accept as is.
State Code for Dadra & Nagar Haveli and Daman & Diu was not available when you exported GSTR-1 as an MS Excel file.
This happened in the B2C invoices recorded for Unregistered dealers or e-Commerce operator.
This issue is resolved.
When you tracked partial advance against a Sales amount, GST on the total advance did not get recorded in GSTR-1.
GST will now get adjusted for partial advance, and you will be able to generate the liability for the rest of the advance amount.
The transactions recorded for import of Capital Goods did not appear in the Import of Goods section.
Such transactions appeared in the No direct implications in return tables section.
This issue is resolved.
The Taxable Amount did not appear under the 3.1 (d) Inward supplies (liable to reverse charge) section in GSTR-3B.
This happened when you recorded a journal voucher for Increase of Tax Liability & Input Tax Credit in the same month as that of the RCM purchase voucher.
This issue is resolved.
The uncertain transactions of sales and purchase will now appear in GSTR-3B, in addition to GSTR-1 and GSTR-2A.
The liabilities recorded for RCM purchases and Input Tax Credit did not appear in GSTR-3B.
This happened when you recorded an RCM purchase voucher for RCM liability and the Input Tax Credit corresponding to the purchase in the same month.
This issue is resolved.
When you uploaded a JSON file with negative sales or purchase value, it led to an error on the GST portal.
However, with the all-new facility of Return Effective Date, you can move such transactions to a different Return period, and ensure that the sales or purchase value is not negative for any period.
Transactions recorded for Reclaim of Reversal of ITC (On Account of Buyer Payment) did not appear in the Input Tax Credit Reversed section under Others.
This issue is resolved.
While filing GSTR-3B, when you uploaded an invoice containing Exempt/Nil-rated items along with taxable ones, the following error appeared:
Table 3.1 (a), (b) and (c) are auto-drafted based on values provided in GSTR-1. Table 3.1 (d) is not auto-drafted based on GSTR-1.
This issue is resolved.
In GSTR-3B, correcting and accepting vouchers as is took longer than expected, especially when navigating to the Uncertain Transactions (Corrections Needed).
It will now take significantly lesser time to correct and resolve vouchers.
The transactions involving the Direct Expenses group were considered not relevant for GSTR-3B. They are now getting included in the Return.
Even if all the values in a transaction matched with the portal data, some transactions did not get automatically reconciled. This happened to transactions with party ledgers created under Current Liabilities.
This issue is resolved.
In GSTR-2A, the imported transactions could not be manually marked as reconciled.
This issue is resolved, as the facility of setting GST Status now works seamlessly.
TallyPrime now considers vouchers recorded in any period for reconciliation in GSTR-2A.
Purchase vouchers from the previous financial year appeared in GSTR-2A Reconciliation of the current financial year.
This happened when you entered Supplier Invoice Nos. that were already used in the previous financial year for the same party.
Due to duplication of the Supplier Invoice No. for the same party, the purchase vouchers of the previous financial year appeared in the current financial year.
The purchase vouchers of only the current financial year will now appear in GSTR-2A Reconciliation, despite the duplication.
In GSTR-2A, re-saving vouchers took longer than expected for the transactions with Nil Rated stock items or ledgers.
It will now take significantly lesser time to do so.
In GSTR-4, Sales invoices were appearing in both the sections – Included in Return and Not Relevant for This Return.
Sales invoices will appear only in the Included in Return section.
RCM purchase transactions recorded for an Unregistered party were considered not relevant for GSTR-4. They are now getting included in the Return.
When you exported GSTR-4 in the MS Excel template provided by the department, Place of Supply was incorrect in 4A&B (B2B) Worksheet.
This issue is resolved.
Certain vouchers used to get excluded from e-Invoicing.
This happened to the vouchers under User-excluded Transactions (Not relevant) of the e-Way Bill report.
This issue is resolved.
In e-Way Bill report, you could not exclude all the selected invoices in the Missing/Invalid Information section.
It happened when there were lots of invoices to be excluded at once.
This issue is resolved, as you can now select as many invoices to exclude from the e-Way Bill report.
In the Voucher Information Mismatch with QR Code section of the e-Invoice report, the deleted vouchers appeared as Modified, without the voucher date and e-Invoice-related details.
This issue is resolved, as the deleted vouchers will appear as Deleted, and the e-Invoice details will be retained.
In some cases, data split was interrupted by a Memory Access Violation (MAV) error.
This issue is resolved.
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You can count on us for a delightful journey with TallyPrime as we work to enhance the product with new features such as Edit Log that helps you keep a trail of every activity performed in transactions and masters to help you have a much better control over your Company data.
You can also read the Release Notes in हिन्दी, मराठी, ગુજરાતી, বাংলা, ಕನ್ನಡ, తెలుగు, മലയാളം, and தமிழ்.
With Release 2.1, we are giving you the flexibility to choose between the following products:
Furthermore, the facility of digital signature will help you digitally sign and authenticate your documents with great ease. Thereafter, you can securely share them with your stakeholders.
The Edit Log in TallyPrime helps you keep a track of your financial data, as you can stay abreast of the activities and modifications in your transactions and masters.
With Edit Log in TallyPrime, you can:
Track all the activities performed in:
What’s more!
Depending on the requirement of Edit Log in your business, you can choose between the two products:
TallyPrime Release 2.1: You can enable Edit Log, if needed, and track key activities. This will ensure that you have a control over actions such as alteration and deletion of vouchers and masters.
Refer to the Edit Log in TallyPrime topic for more information.
TallyPrime Edit Log Release 2.1 and TallyPrime Release 2.1 support dongle-based digital signatures.
You can now seamlessly sign documents such as vouchers and reports while:
Furthermore, you can add digital signature in a multi-voucher report, while ensuring that all the vouchers are digitally signed.
With digital signature, you can ensure authenticity and integrity and avoid impersonation and tampering of the PDF documents you share with your stakeholders, customers, auditors, and chartered accountants.
Refer to the Digital Signature in TallyPrime topic to know more.
What’s more!
You can also print, export, or e-mail multi-voucher reports for a specific party and period.
Refer to Multi-Voucher/Invoice for a selected party to know more
You can count on us for a delightful journey with TallyPrime as we work to enhance the product with new features and fix issues, which will make your experience even simpler and more seamless.
You can also read the Release Notes in हिन्दी, ગુજરાતી, বাংলা, മലയാളം, తెలుగు, and தமிழ்.
With the newly introduced bottom bar, you can now easily access shortcut keys. This will help you learn the product faster and enhance your efficiency.
You also have the flexibility to hide the bottom bar.
Refer to the Bottom Bar section under the Get Familiar topic for more information.
You can also refer to the Keyboard Shortcuts section under the Working with Reports topic for more information.
TallyPrime will now provide you timely notifications about:
You will also stay notified about any license-related issues.
The notifications will help you upgrade to a new release and experience the benefits of the latest offerings in the product. Moreover, notifications about TSS or rental license expiry and renewal will help you continue working seamlessly.
What’s more! You can snooze the notifications, if needed.
Refer to the Tally Software Services (TSS) and Upgrade to Latest Release topics to know more.
The following issues occurred while exporting data to MS Excel.
When you exported All Ledger Accounts and Group of Accounts reports to MS Excel:
When you exported Bank Books to MS Excel, the Memory Access Violation error appeared.
This happened when there were too many Bank ledgers in the Company data.
This issue is resolved.
The exported, e-mailed, or printed Cost Centre reports showed Opening Balance, even when you had disabled the Show Opening Balance option in the configuration.
This issue is resolved.
When you exported or printed the transaction-wise TDS Outstandings report, the Nature of Payment did not appear.
This issue is resolved.
While restoring Company backup, the Company did not appear under List of Companies.
This happened when you selected the option Select from Drive.
This issue is resolved.
With the connected experience for e-Way Bill, TallyPrime enables you to –
As a result, you need not juggle between TallyPrime and the e-Way Bill system for various e-Way Bill activities, as everything can be done from within the product.
Refer to the e-Way Bill topic to know more.
The Save View feature will delight you with a personalized experience for viewing reports in TallyPrime.
You can now:
Saving your preferred views saves a great deal of time as you need not apply the configurations time and again.
Refer to the Save View topic to know more.
TallyPrime is here with a quick and simple process to validate:
As a result, you get to know if the information entered in your books is authentic and update it, if needed.
Refer to the Validate GSTIN and HSN Online topic to know more.
The all-new mobile-responsive design provides you with an intuitive experience right from company selection to downloading a voucher.
Additionally, you can now enjoy the benefits of the following features:
You can now view Day Book for the previous and next dates by tapping on the left and right arrow keys, respectively.
You can now apply Scale Factor in a report to view the values in hundreds, lakhs, and so on.
You can now view additional information in selected reports by tapping on Show Details.
You now have a better experience in changing the period of reports in browsers.
The file name of the report downloaded from the browser will now have an underscore, which will separate the date and timestamp for easy identification of the date and time of the download.
Refer to the TallyPrime Reports in Browser topic to know more.
TallyPrime’s easy-to-use e-payment feature is now extended to RazorpayX Bank and Axis Bank.
As per the latest amendments, in Table 12 of GSTR-1 (HSN Summary) the column Total Value is replaced with the column Rate of Tax. This release of TallyPrime enables you to file your returns with this change.
When you exported the Ledger Group Outstandings report to an MS Excel file, the details of some Parties were missing.
This issue is resolved.
In the Voucher Register under Verification of Vouchers, the transactions did not appear for the selected Verification Status.
This issue is resolved.
When you sent Ledger and Group Outstandings to parties via e-mail, the parties that did not have any outstanding amount received a blank report.
This issue is resolved.
When you recorded a sales transaction using Voucher Class, TallyPrime rounded off the tax value with three decimals to two decimals. Consequently, the calculated tax amount was lesser by 1 paisa.
This issue is resolved.
Only the first line was visible in Terms of Delivery when you altered a Sales Invoice and provided the Order No.
This issue is resolved.
The performance enhancements in navigation will make your experience with TallyPrime all the more delightful. It will take fewer seconds to:
The TDL storage error appeared in the TCS transactions and reports, when Use TCS Allocations was enabled in the sales transaction.
This issue is resolved.
An error appeared while uploading a Delivery Note on the e-Way Bill system. This happened when you had selected Others as Sub Type while recording the Delivery Note.
This issue is resolved.
The report details were not getting refreshed when you changed the ledger in a columnar report.
This issue is resolved.
In multi-voucher printing, the last e-Way Bill number was printed in all the invoices.
This issue is fixed.
TCS Debit Notes were not getting linked to TCS Receipt vouchers.
This issue is resolved.
The TRN did not appear when you printed a sales invoice in Arabic.
This issue is resolved.
The e-Way Bill number did not appear in the print when the invoice was altered.
This issue is resolved.
You can count on us for a delightful journey with TallyPrime, as we work to release new features and fix issues.
Depending on your business practice, you can now make a choice to:
If your business has buyers who deduct TDS while making payments, then you do not have to collect TCS from them.
In TallyPrime, you can now:
If you have any government-listed buyers, who are exempt from TCS payment, then TallyPrime will help you:
You can now generate the Form 27EQ text file in alignment with the TCS budget changes.
Ledgers Without PAN report is now available for TCS, using which you can:
You can choose to configure TCS in either stock item or sales ledger, which will help you calculate TCS with great ease and accuracy.
This flexibility will especially come in handy if you have plenty of stock items. Configuring TCS in the sales ledger will save a great deal of time as you will not have to configure TCS for each stock item.
TallyPrime provides you with a delightful e-Invoicing experience through e-Invoice Sandbox, which will enable you to:
What’s more!
You can also experience the e-Invoice Sandbox feature even without an active TSS or in the Educational mode.
Previously, TCS was not getting calculated when you recorded a Sales Invoice against an Advance Receipt, despite the amount exceeding threshold limit.
This issue is resolved.
With the newly introduced right button bar for Print, Export, and E-mail, you can easily find the frequently used configurations, thereby saving a great deal of time.
You can now set Preview as default instead of printing directly, so that you will:
Previously, the company logo did not appear when you printed Payments and Receipts through the multi-voucher printing option.
This issue is resolved.
The reports appeared to be darker when you printed, e-mailed, or exported them.
This was happening when you had set Display mode as Soft under Display settings in TallyPrime.
This issue is resolved.
You can now navigate to Tax Analysis and Stock Query reports from transactions using the Related Reports button. This will lead to easy discoverability and quick access.
In Voucher Register reports, you now have a day-wise breakup for ledgers, which will help you to:
When you open the Cash Book report for a particular period, you will now have a Show Negative balance only option under Basis of Value, using which you can:
In TallyPrime Release 1.1.3, the license was switching to Educational mode due to Gateway Server issues. This is resolved.
This issue is resolved.
If you have opted for the QRMP scheme, then you can export section-wise JSON files in GSTR-1 using TallyPrime.
Thereafter, on the GST portal, you can upload JSON files of B2B Invoices and Credit/Debit Notes (Registered) for the first and second months of a quarter using the Invoice Furnishing Facility.
TallyPrime supports Oman VAT from 16-April-2021 for all kinds of transactions.
Using TallyPrime, you can
The logo was not printed when you had set the following configurations:
This issue is resolved.
TallyPrime now offers two Display Modes – Bright and Soft. While Bright is the default display mode, you can enable Soft display mode, as per your preference, by going to F1 (Help) > Settings > Display > Colour & Sound > Display Mode.
If you have mistakenly cancelled an e-Invoice in TallyPrime, then the Undo IRN Cancellation button will help you undo the cancellation.
This will
When you generated the e-Way Bill along with e-Invoice, the Transporter Name was not appearing in the e-Way Bill printed from the e-Way Bill portal.
This issue is resolved.
When you verified an e-Invoice using the acknowledgement number, the Product Description was appearing blank. This happened when e-Invoices were generated by uploading Invoice details to the portal directly using TallyPrime.
This issue is resolved.
e-Invoices were rejected by the e-Invoice System, with the reason given as negative free quantity, even when no free quantities were entered in the invoice.
This happened when UoMs with 4 decimals were rounded off to 3 decimals for a few stock items in the Invoice.
This issue is resolved, and now you can continue to use UoM with 4 decimal places.
TallyPrime Release 1.1.3 also comes up with stability improvements for a seamless e-Invoicing experience.
When you printed the Ledger Vouchers report in the condensed format, bill-wise details did not appear.
This issue is resolved.
When you printed a sales transaction with TCS, the TCS Category for value appeared as Any@0% below the stock item. This happened when you had selected Any as TCS Nature of Goods in the Sales or Income ledger.
This issue is resolved.
The TCS rate printed in the invoice was incorrect when different rates were set for Individuals and Other Collectee Types in the same Nature of Goods.
This issue is resolved.
When you used the Reconcile All Unlinked feature after importing a bank statement, an MAV error occurred in the Bank Reconciliation statement.
This issue is resolved.
Cheques were getting printed in landscape mode even when you had set the alignment as Vertical Centre in the bank ledger.
This issue is resolved.
The Voucher totals do not match message appeared while saving a Contra voucher from the Bank Reconciliation statement.
This happened when you created a Payment voucher from BRS after importing a bank statement, and then changed the voucher type to Contra.
This issue is resolved.
You now have the option for selecting Delimited (|) – Corporate Net Banking format in addition to the Fixed Width – Corporate Net Banking format in the e-Payment Configuration screen.
In this release, we have addressed the case of QR code not appearing in e-Invoices after splitting the company data. If your business is based out of Kenya, then it will help you align with the latest VAT e-returns requirement.
You can now export VAT Form-3 to the new VAT template with the latest tax rate of 16%, which is applicable from 1st January, 2021.
QR code did not appear in e-Invoices after splitting the company data. Now all the IRN information, including QR code, will be carried forward seamlessly after splitting.
TallyPrime allows you to link vouchers using link masters, such as Tracking No., Order No., and Cost Category, and keep a track of stock movement and cost allocation.
This linking between vouchers was lost when:
If your TSS was valid as in November 2020, you can upgrade to TallyPrime Release 1.1.1.
Important: For compatibility with TallyPrime Release 1.1.1, download and install TallyPrime Server Release 1.1.1 exe.
TallyPrime brings in the flexibility of simple-to-use e-Invoicing and e-Payments features, to cater to your increasing business needs.
TallyPrime supports truly connected e-Invoice experience for all taxable sales by GST Regular Dealers. The feature is:
There are reports that allow you to take care of e-invoice related pending activities, and keep track of the e-Invoice statuses.
You can also cancel e-Invoices, if you want to.
e-Payments in TallyPrime has been enhanced to manage the offline payment instructions in a simplified manner.
You can export completed e-payments transactions from the voucher level or from the e-Payments report.
TallyPrime provides e-payment support for the banks DBS Bank (India), Standard Chartered Bank (India), Standard Chartered Bank (UAE), Kotak Mahindra Bank (India), YES Bank (India), ICICI Bank (India), Tokyo & Mitsubishi (India), HDFC Bank (India), Bank of Baroda (India), and Citi Bank (India).
Release Notes gives a brief overview of all the new features introduced in the release and the product improvements done.
TallyPrime gives you a simple and consistent experience, along with ease of discoverability of features across.
As you launch TallyPrime, the new splash screen reflects the product identity while you wait for the application to open.
The right button bar has been harmonised to remove clutter and provide a consistent experience across.
Refer to F12 Configurations for more information.
In TallyPrime, you can perform various tasks using the Top menu options, without having to follow a rigid set of steps for each task.
Whether you are looking for information on the product, license, TDLs, Company data, connectivity or your computer, – About Page is the one-stop solution. Specific details like product updates, status of online services, and so on are available from this page, anytime you need.
In case of VAT, Service Tax or Excise, which are not in practice after GST implementation, you can download the extensions/capsules from our website on a need basis. These have not been removed as you may want to check your old data, if needed.
This section lists the changes in features due to updates in functionality or fixing issues.
Support for the latest templates introduced by GSTN.
The following updates are done in the Company creation option.
If the country selected for your Company is Germany European Euro is shown as the Base Currency, and the symbol is €. The decimal currency is Cent, and the number of decimal places is 2.
Based on the country selected for your Company, the following labels will be displayed when capturing or displaying addresses.
The following issues when printing sales invoices are resolved.
The following issues with data refresh on the supplementary details screen are resolved.
When a Sales Voucher was duplicated, and the party ledger changed with Enable Supplementary details is set to No, the supplementary details were not getting refreshed with the details of the new party selected.
On changing the party ledger a confirmation message will be shown, and if you confirm the supplementary details will be refreshed.
When recording sales in Voucher mode, there was no Alt+M option in the supplementary details screen to select a different Buyer, while this was possible in Invoice Mode.
You can select the party ledger from the list.
In Accounts Only Company when VAT was not enabled, while recording sales in Voucher Mode the supplementary details screen was not displayed.
In Voucher Mode, the supplementary details screen will be shown.
While recording cash sales entry if a party ledger was selected in the supplementary details screen by pressing Alt+M, the party’s ledger name was getting printed instead of the mailing name.
The party’s mailing name will be printed.
When a sales transaction was recorded with the F12 configuration Enable Supplementary details set to No, and later altered to set the same configuration to Yes, the party details and GSTIN were disappearing from the supplementary details screen. Had to press Alt+M and select the party again to show these details.
When recording a sales transaction with consignee as a party from UAE, Indian states were listed under the column Emirates.
The correct Emirate name will be shown under the consignee details
This section lists the features that are obsolete and hence removed from the product.
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