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I run a service-based business and I need a Tally Prime specialist to organise my books so that I can pull clear, accurate reports whenever I need them. The focus is on building out two key statements inside Tally Prime and making sure the underlying ledgers, groups and vouchers flow correctly into each report. Deliverables • Profit and Loss Statement set up, verified and ready for regular generation • Balance Sheet configured with all accounts mapped correctly If you spot any gaps—such as cash-flow insights or dashboard tweaks—I’m happy to hear suggestions, but the two reports above are the must-haves. Clean data structure, reconciled opening balances and a walkthrough of the final setup will be the acceptance criteria.
Project ID: 40485891
12 proposals
Remote project
Active 21 secs ago
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