To reconcile the bank ledgers automatically,You need to download the bank statements and import the same in TallyPrime. After import, bank dates will automatically be filled in the Bank Dates field in the Bank Reconciliation Statement. At the time of reconciliation, TallyPrime matches the ...
You only have to download your GSTR-1 data in TallyPrime, and the relevant details from the portal will appear seamlessly in the GSTR-1 Reconciliation report, along with the details in your company books. After that, you can verify the details and easily make the necessary changes....