Groups -- Fixed Assets and Misc.Exp (ASSET) added. Group-wise report...... In Case of non-allocation, difference will be highlighted in RED color.
Sir please give your services to TSPL also. They are badly in need of your talent. Otherwise TSPL is disappointing very much.
Maybe they will check this FORUM Site and recognize the many many talented coders here.......... and hopefully will give some of the talented coders -- a much bigger platform to showcase.
Excellent work.. i have just completed my file today only but happy to see your work .... will me making few changes ie GUI changes like yours thanks
sure will do the same after making few changes of GUI .. more important my module is cross tallied with GSTR2 hence it took time to develop
This Clause 44 Report has nothing to do with GSTR-2 tallying. All expenses has to be shown..... even bus.prom, food, petrol, stationery, conveyance, travelling etc. And if there are any bills/items within this expense head and has a GST invoice, then you need to show in COL-5 else COL-7. e.g. Travelling has a total for 15375/- out of which there are GST paid hotel bills of 11375/- (nett of GST) then it will come under COL-5 and balance is like bus fare, taxi, then it should be under COL-7 Fuel exp should be shown under COL-3 (Exempt) Expenses head like Depreciation, Bad Debts, W/offs, Round offs, Salaries, Wages, Remuneration etc are to be excluded. (Refer guidance notes as per ICAI) Groups to be included are - Purchase, Direct & Indirect Exp, Misc.Exp (Asset) and Fixed Assets.
I partly agree but there expenses has to be broken into categories where its purchased from Registered Vendor, Unregistered Vendor , Composite Vendor and Lastly Its Exempt.. Also expenses which are not covered in above category you can report in 1 more column which is not in GST if you check the video we will get more idea .. i might have interpret it wrong. but what i have understood it requires the breakup on basis of gst vendors There are expenses/Purchase which can be from either unregistered vendor or registered vendor for same product or type of expense or might be from composite Vendor that needs to be broken properly. I understand as of now it wont be more of important for users they might give it as per their understanding but later on its narrowing to the Audit point
Revised Format.... Items not allocated or items with difference will be highlighted in RED. Enter respective LEDGERS from this screen for Voucher-wise data.
Sir first let me thanks for the IDEA of Good GUI ie presentation also 1 suggestion increase 1 more column like i have done in the report The last column will be of expenses not to be reports like Salaries , Depreciation etc which are not part of the report and still to TALLY the same with P&L can be done Rest i belive as data is different of both of us we cannot test each others module but would belive give same results View attachment 9367
Your photo not being shown, there seems to be some problems. Re-Upload it later. Regarding the Reconciliation, I have made a separate report to show the reconciliation with the Final Books and also give CAs remarks/notes. Also work going on -- for a voucher-wise Audit for CAs working papers. This report will be of immense help to Companies and their CAs when the company has multi branches and they file a consolidated Final Results. But this will take some time to make, as am busy with other things.
Excellent approach for the drill down... i have added the field in end attaching it ... i have used similar GUI as yours as was happy to adapt it i have spoken to few CA also which had this would help to cross verify the complete expenditure with P&L.
Hello Sir, I also have to build the same report But I am not sure... If my report is correct.... Is it possible to share a Trial TCP? If not... It's completely fine... No worries
Okay... you begin building the report .... and share the screenshots .... and if there are any errors, will guide you through.