Tally Prime Release 6.0

Transformation In The Era Of Business Banking

What's New in TallyPrime Release 6.0?
As of February 2025, TallyPrime Release 6.0 is the latest version.

TallyPrime 6.0 comes with two different release:

  • TallyPrime 6.0
  • TallyPrime Edit Log 6.0

While both versions offer numerous improvements, the key difference is the Edit Log feature. The Edit Log version comes with an permanent log of all changes, providing enhanced audit and compliance features. For the non-Edit Log version, this log can be enabled or disabled based on user preferences.

Transform Banking for Your Business

TallyPrime Release 6.0 takes simplicity and efficiency to the next level! This latest version introduces tech-driven solutions to streamline your daily banking activities with Tally’s Connected Banking features.

From easy voucher creation to hassle-free bank reconciliation, TallyPrime 6.0 simplifies it all. It helps you manage real-time banking information, organize banking data, improve cash flow management, and much more - all in one place.

With TallyPrime Release 6.0, transitioning into a smarter era of business banking has never been smoother.

Let’s look into the Key Features, Updates and Improvement TallyPrime Release 6.0 brings to the table!

Enhanced Bank Reconciliation

TallyPrime’s bank reconciliation process is now more efficient and intelligent, offering improved options for both automatic and manual reconciliation. The enhancements simplify matching transactions between books and bank statements to save time and reduce errors.

  • Auto-Reconciliation: Transactions can be automatically matched during bank statement import or reconciled later. This can be enabled directly in the bank ledger settings.
  • Custom Rules for Matching: Define rules for identifying potential matches based on specific business requirements, making it easier to find matching transactions.
  • Flexible Matching Options: Match one or multiple transactions in the books with one or multiple transactions from the bank for accurate reconciliation.
  • Manual Reconciliation: Manual reconciliation can continue as before, providing flexibility for businesses preferring a hands-on approach.
  • First-Time Reconciliation Setup: A reconciliation date can be set, and un-reconciled transactions can be added to an Opening BRS (Bank Reconciliation Statement) report. These transactions will then appear in the Bank Reconciliation report for further processing.
  • Company Split Handling: In cases where a company is split, un-reconciled book and bank transactions will automatically be added to the Opening BRS report for easy tracking and reconciliation.

Automated Voucher Creation Using Bank Statements

The process of creating vouchers is now faster and more flexible with automated voucher creation from imported bank statements.

Key Features
  • Create multiple vouchers in one go, either with a common ledger or separate ledgers.
  • Merge multiple transactions into a single voucher with the consolidated amount.

Key details such as narration, instrument number, instrument date, and amount are automatically filled, saving significant time and effort. This enhancement simplifies voucher creation and improves efficiency in managing financial transactions

New And Revamped Banking Reports

Bank reconciliation and transaction tracking are now easier with new and improved banking reports, including Banking Activities, Bank Reconciliation Summary, and Bank Reconciliation.

Key Highlights
  • Banking Activities Report: Provides an overview of all bank ledgers, highlighting pending actions related to Bank Reconciliation and E-Payments.
  • Drill-Down Options: From Banking Activities, access the Bank Reconciliation Summary for specific banks. This report displays book and bank balances, withdrawals, deposits, and un-reconciled e-payments.
  • Detailed Reconciliation: Drill down from the Bank Reconciliation Summary to the Bank Reconciliation Report to efficiently manage and reconcile book and bank transactions.
  • Enhanced E-Payments Report: The E-Payments report has been redesigned for better clarity and usability. Drill down to correct details or review payment statuses before exporting from TallyPrime.
  • Banking Details In Reports: Reports like Ledger Voucher and Day Book now include banking-related data, such as account numbers, payment methods, transaction details, instrument numbers, and dates. This helps in tracking payment and reconciliation status more effectively.

A Secure & Versatile Connected Banking Experience

Connected Banking eliminates the need to log in to multiple bank portals by providing a single, secure login through Tally.NET credentials. This feature allows seamless connection of all bank accounts to TallyPrime, simplifying banking operations.

Key Highlights
  • Instant Bank Balances: View bank balances directly in TallyPrime within seconds. This enables quick access to balances when making payments to vendors or comparing book and bank account balances.
  • Bank Balances In Reports: Bank balances can also be viewed in reports such as Ledger Vouchers and Group Summary for better financial visibility.
  • Online Bank Statements: Retrieve bank statements online and use them directly for bank reconciliation, saving time and effort.

Other Enhancements in Banking

  • Expanded Bank Data Import
    Now Import bank data from over 145 banks in India and 80 banks across Asia, Africa, and North America, can be stored in company data for easy & quick reference and reconciliation , which makes audits easier.
  • E-Fund Transfer Mode for E-Payments
    Now user have the flexibility to set the E-Fund Transfer Mode. Which automatically apply modes like IMPS or NEFT to E-Payment vouchers based on the transaction amount.
  • Bank & Reconciliation Details In Transactions
    Payments and receipts now include complete bank and reconciliation details for quick reference during voucher creation or modification.
  • Banking Dashboard Tiles
    Monitor banking activities with tiles showing pending reconciliations and balances as per the bank.
  • Bank-Related Details In Edit Log
    Track changes in bank date, instrument number, instrument date, and UPI ID directly in the Edit Log.

Split Your Company Data with Ease

TallyPrime Release 6.0 introduces an enhanced Data Split feature, designed for greater simplicity and convenience. The updated interface, along with new split options, ensures a smoother process for managing data separation. A data verification prompt guides users through the process, while improved error verification ensures accuracy and minimizes potential issues. These enhancements make data splitting more efficient and reliable, supporting better data management practices.

Creation Of A Single Company After Split

The updated Split process in TallyPrime allows the creation of a single company, for easier and more secure data management. For businesses with large volumes of data, this feature facilitates the creation of a new company with the latest data, improving performance and ensuring smooth operations.

Alternatively, the traditional two-company Split remains available, offering flexibility to create one company for compliance purposes and another with updated data for ongoing transactions.

A new progress bar has been introduced to provide clear visibility into the stages and progress of the Split process, enhancing overall transparency and ease of use.

Enhanced Data Verification

The Data Verification process has been enhanced to identify and handle a wider range of errors in vouchers and masters, ensuring a smoother data split. To improve accuracy and minimize errors, a prompt is now provided to verify data before starting the Split process. These enhancements strengthen data integrity and streamline the overall experience.

Other Enhancements In Split & Verify

Several issues have been resolved to improve performance and reliability:
  • Resolved Out of Memory and Memory Access Violation errors during data verification in TallyPrime.
  • Fixed slow performance and stoppages when splitting vouchers in the TallyPrime Edit Log.
  • Addressed Temporary Overflow and Restart and Continue errors during data verification in TallyPrime Edit Log Release 4.0.

Easily Manage Your Profile Details

TallyPrime 6.0 introduces a new Profile feature that allows users to view and update the contact details linked to their Tally Serial Number, ensuring timely communications and updates.

Key Highlights
  • View & Edit Profile: Manage contact details directly within TallyPrime.
  • Tally Portal Access: Easily navigate to the Tally portal for further updates.
  • Reminders: Receive notifications twice a year to check and update profile details.

Keeping the profile updated ensures smooth and efficient communication.

Enhancements in GST

  • Intuitive GSTR-1 Filing: GSTR-1 filing is now more intuitive, ensuring the return is uploaded before filing, preventing Nil Returns.
  • Accurate TXPD Section: The TXPD section in GSTR-1 now displays details more accurately, with amounts matched correctly without further action required.
  • Copying B2B Sales Invoices: B2B sales invoices can now be copied between companies using F3 (Company), with no duplicate voucher numbers in GSTR-1 and GSTR-3B.
  • Excel Offline Utility 5.4 for GSTR-3B: TallyPrime now supports Excel Offline Utility version 5.4 for GSTR-3B, displaying ITC-related information correctly under the right categories.
  • Correct Display in GSTR-3B: Transactions with URD bank and exempt expense ledgers now appear under Exempt, Nil Rated, and Non-GST Inward Supplies in GSTR-3B, instead of under Uncertain Transactions.
  • Cess on Quantity Calculation: In Cess on Quantity, round-off and decimal values, is now calculated correctly in transactions, avoiding previous mismatches or incorrect tax amounts.

Seamless TDS Calculation

When TDS values are updated in transactions, the details now appear correctly. Previously, updating TDS values caused issues with Dr & Cr and TDS ledger values.

Enhancement in VAT Report

The VAT report now displays correctly for all Indian States and Union Territories. Previously, it was not appearing for Puducherry, Haryana, Telangana, Chandigarh, Dadra & Nagar Haveli and Daman & Diu, Kerala, Ladakh, Sikkim, Tripura, Uttarakhand, Uttar Pradesh, and West Bengal.

Summing Up

TallyPrime 6.0 and TallyPrime Edit Log Release 6.0 come with these significant updates, revolutionizing business banking with smarter reconciliation, automated voucher creation, and seamless connected banking. The updates in GST filing, data splitting, and TDS calculation ensure greater accuracy and efficiency. With these powerful features, TallyPrime 6.0 empowers businesses to manage finances effortlessly and stay compliant.

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