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Course Overview
12-Month Master Diploma in Tally & Taxation
Computer Course

12-Month Master Diploma in Tally & Taxation

576.00h 20 lessons 4.9
Description

Go from basic bookkeeping to an expert Corporate Accountant! This exhaustive 12-month professional program transforms you into an industry-ready specialist. Master advanced Tally Prime architecture, handle complex GST filings, process corporate payrolls, manage bank reconciliations, and audit enterprise financial statements from scratch.

Course Overview

πŸ’‘ 100% practical, case-study-backed curriculum designed to build elite industry authority. Enroll today to future-proof your career!
This intensive, year-long program bridges the critical gap between conceptual classroom accounting and real-world corporate execution. Students systematically advance from manual double-entry rules to operating automated ERP infrastructures, managing statutory compliance (GST/TDS), processing workforce compensation pipelines, and presenting final audited sheets to corporate boards.

πŸ“… 12-Month Structural Curriculum Breakdown
Module 1: Advanced Accounting Fundamentals & Journal Dynamics (Months 1–2)
The Conceptual Framework: Deep dive into double-entry bookkeeping systems, capital-revenue distinctions, and corporate asset-liability divisions.

The Financial Pipeline: Recording complex manual business events through specialized Journal entries, mapping to Trial Balances, and understanding adjustments.

Corporate Accounting Standards: Introduction to GAAP, accounting concepts (matching, accrual, conservatism), and statutory business structures.

Module 2: Company Architecture & Chart of Accounts in Tally Prime (Month 3)
System Environment Setup: Installing Tally Prime, configuring multi-company environments, managing operational security matrices, and user access levels.

Advanced Ledger Engineering: Mastering Tally’s 28 pre-defined groups and architecting complex, custom sub-groups for multi-branch corporate assets.

Vendor & Customer Profiling: Setting up structured credit limits, tracking aging periods, and optimizing payment terms for Sundry Debtors and Creditors.

Module 3: Advanced Voucher Operations & Daily Bookkeeping (Month 4)
Transaction Processing Suite: Mastering practical execution across all standard commercial voucher modules:

Contra (F4): Handling intricate bank cash flows and inter-account corporate clearings.

Payment (F5) & Receipt (F6): Logging diverse revenue expenses, cash outlays, and customer collection matrices.

Journal (F7): Passing complex depreciation entries, bad debt adjustments, and year-end rectifications.

Sales (F8) & Purchase (F9): Recording corporate wholesale/retail trade.

Post-Entry Management: Analyzing tracking structures via the Day Book, overriding entries safely, and handling batch cancellations.

Module 4: Advanced Inventory & Warehouse Control (Month 5)
Inventory Master Architecture: Establishing multi-tiered Stock Groups, Categories, Variants, and custom Units of Measure (UoM).

Multi-Godown & Batch Management: Tracking real-time inventory across diverse storage locations, configuring manufacturing/expiry dates, and stock routing.

Reorder Optimization Lines: Setting automated safety stock thresholds, processing purchase orders, receipt notes, and tracking item reorder levels.

Module 5: Automated Bank Reconciliation Systems - BRS (Month 6)
The Discrepancy Matrix: Identifying structural variances between the internal Company Cash Book and official Bank Passbooks.

Automated Reconciliation: Importing real-time bank e-statements into Tally Prime to execute instant cross-matching.

Unreconciled Resolution: Adjusting for uncleared checks, tracking direct bank interests, handling auto-debits, processing check bounces, and generating clean BRS statements.

Module 6: Statutory Compliance & Comprehensive GST in Tally (Months 7–8)
GST Core Foundations: Understanding CGST, SGST, IGST frameworks, HSN/SAC code tracking, and tax slab applications.

Invoicing & Transaction Compliance: Generating clean, GST-compliant tax invoices, configuring reverse charge mechanisms (RCM), and processing interstate trades.

Advanced E-Way & E-Invoicing: Configuring API capabilities for direct generation of E-Way Bills and portal-validated E-Invoices from within Tally.

Tax Returns Preparation: Compiling, verifying, and exporting structural data for error-free filings of GSTR-1 (Sales), GSTR-2B (Input Credit matching), and GSTR-3B (Monthly Consolidated Returns).

Module 7: Core Corporate Taxation Basics & TDS (Month 9)
Tax Deducted at Source (TDS): Understanding the mechanics of withholding tax on corporate payments (rent, professional fees, salaries, contracts).

TDS Configuration in Tally: Setting up TDS nature of payments, mapping deduction rate matrices, and running automated tax withholdings during voucher creation.

Tax Settlements: Processing government tax payments and extracting foundational sheets for Form 26Q and Form 27Q reporting.

Module 8: Comprehensive Payroll Management Systems (Month 10)
Workforce Architecture: Structuring employee groups, departments, and creating unique profile cards in Tally.

Pay Head Engineering: Setting up complex compensation formulas for Basic Salary, Dearness Allowance (DA), House Rent Allowance (HRA), Travel Allowances, and custom Overtime metrics.

Statutory Deductions: Auto-calculating Provident Fund (PF) contributions, Employee State Insurance (ESI), and Professional Tax (PT).

Payroll Processing: Generating automated monthly attendance logs, executing payroll runs, and printing professional itemized Employee Pay Slips.

Module 9: Corporate Audit, Final Statements, & Security (Months 11–12)
Final Statements Dissection: Extracting, adjusting, and analyzing senior corporate visual summaries:

Profit & Loss Account: Reviewing gross and net profit margins across operating lines.

Balance Sheet: Structuring assets vs. liabilities to calculate real-time corporate net worth.

Trial Balance & Ratio Analysis: Performing financial diagnostics to evaluate cash liquidity and business performance.

Data Integrity & Recovery Protocols: Hardening data pipelines, configuring automated backups to secure cloud paths, and running clean system restores.

The Live Auditing Capstone Project: Students are given a raw, disorganized 1-year financial file of a multi-tiered trading corporation. You will project-manage the entire operation: building the company database, cleaning inventory registers, reconciling bank accounts, filing mock GST/TDS pipelines, and delivering a finalized, audited Balance Sheet package.

🎯 Key Career Benefits of This Master Diploma
Total Operational Seniority: Unlike standard short-term courses that cover mere data entry, this 12-month track trains you to handle a firm's complete financial, tax, and human resource payroll compliance independently.

Decoupled Tax & Tech Competency: Mastering advanced GST networks, E-Invoicing parameters, and automated BRS architectures makes you an asset for accounting firms, CA agencies, and mid-to-large corporate organizations.

Elite Live Portfolio Asset: Graduate with a robust capstone package verified by practical industry testing, proving you have the experience to step directly into a senior accounting role on day one.

Free Course Enrollment

Free Enrollment No payment required
  • 12 months access validity
  • 20 lessons
  • 576.00 total hours
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