Diploma Program in Accounting – 2 Months

Diploma Program In Accounting (1)

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Course Overview

The Diploma Program in Accounting – 2 Months is a short-term practical training program designed to provide working knowledge of spreadsheet-based financial operations and computerized accounting using Advanced Excel and Tally Prime. The course focuses on daily accounting activities followed in offices, small businesses, and commercial organizations. The program covers financial data handling, billing, voucher entries, bank reconciliation, and basic final accounts preparation. It is structured for quick skill development for entry-level accounting and office accounting roles.

Course Modules –2 Months

  • Advanced Lookup Functions (INDEX-MATCH, XLOOKUP)
  • Database Functions (DSUM, DAVERAGE, DCOUNT, etc.)
  • Array Formulas and Dynamic Arrays
  • Financial Functions (IRR, NPV, FV, PMT)
  • Statistical Functions (COUNTIFS, SUMIFS, AVERAGEIFS)
  • Text Functions for Data Cleansing and Manipulation
  • Advanced PivotTable Techniques (Calculated Fields, Slicers, Timelines)
  • Power Pivot and Data Model Introduction
  • Power Query for Data Transformation and Cleansing
  • Data Analysis with Power BI Integration
  • Advanced Filtering and Sorting Techniques
  • Dynamic Named Ranges and Data Validation
  • Advanced Chart Types (Combo Charts, Radar Charts, Histograms)
  • Creating Dynamic Dashboards with Interactive Charts
  • Advanced Chart Formatting and Customization
  • Sparklines and Data Bars for Visual Insights
  • Using Maps and 3D Visualizations
  • Chart Automation with VBA
  • Introduction to VBA Programming Environment
  • VBA Syntax, Variables, and Data Types
  • Control Structures (Loops, Conditions)
  • Automating Tasks with VBA Macros
  • User Forms and Advanced Controls
  • Error Handling and Debugging Techniques
  • Goal Seek and Solver for Optimization
  • Scenario Manager for What-If Analysis
  • Monte Carlo Simulation with Excel
  • Advanced Statistical Analysis with Excel
  • Sensitivity Analysis and Scenario Analysis
  • Advanced Financial Modeling Techniques
  • Importing and Exporting Data from External Sources
  • Linking Excel with SQL Databases
  • Automating Data Refresh and Updates
  • Excel Add-Ins for Enhanced Functionality
  • Building Custom Functions with VBA
  • Integrating Excel with Other Office Applications
  • Collaborative Work with Excel Online and SharePoint
  • Tracking Changes and Managing Versions
  • Advanced Security Features (Encryption, Digital Signatures)
  • Protecting Workbooks, Worksheets, and Cells
  • Advanced Sharing and Access Control Techniques
  • Solving Real-world Business Problems with Excel
  • Capstone Projects: Developing Excel-Based Solutions
  • Advanced Financial Modeling Case Studies
  • Custom Solutions for Data Analysis and Reporting
  • Presenting Insights and Recommendations
  • Productivity Hacks for Excel Power Users
  • Advanced Excel Shortcuts and Techniques
  • Excel Best Practices for Efficiency and Accuracy
  • Troubleshooting and Problem-solving Strategies
  • Customizing Excel Environment for Maximum Productivity
  • Comprehensive Review of Course Material
  • Final Exam or Project Presentation
  • Certification of Advanced Excel Mastery
  • What is Accounting
  • Objectives of Accounting
  • Types of Accounts
  • Fundamental Accounting Equation
  • Double Entry System
  • Common Financial Statements
  • Overview of Tally Prime
  • Navigating the Tally Prime Interface
  • Understanding Key Functionalities and Features
  • Advanced Accounting Setup: Configuring Ledgers, Groups, and Cost Centers
  • Advanced Inventory setup: Stock Groups, Categories, and Items: Advanced Setup and Configurations
  • Managing Foreign Exchange Transactions: Currency Management and Forex Rates
  • Vouchers in Detail: Recording complex transactions using Payment, Receipt, Journal, Contra, and more
  • Bill of Materials (BoM): Creation and Management of Complex Bills of Materials
  • Multiple Stock Locations: Managing Multiple Godowns/Stores in Tally Prime
  • Stock Transfers and Adjustments: Handling Stock In Transit, Stock Adjustments, and Stock Valuation Reports
  • Inventory Valuation: FIFO, LIFO, and Average Cost Method
  • Financial Statements: Profit & Loss, Balance Sheet, and Cash Flow
  • Ratio Analysis: Calculating and Interpreting Financial Ratios
  • Budgets and Controls: Creating and Monitoring Budgets
  • Audit and Reconciliation:
  • Bank Reconciliation
  • Cash Flow and Bank Audit
  • Reconciliation of GST Returns
  • Employee Setup and Payroll Configurations
  • Salary Structures: Designing Complex Salary Structures and Pay Components
  • Statutory Compliances: PF, ESI, and Professional Tax Management
  • Generate Payroll Reports: Salary Slips, Pay Register, and Form 16
  • Leave Management: Tracking and Managing Employee Leave
  • Taxation Handling:
  • GST Computation and Returns
  • Tally GST Reports (GSTR-1, GSTR-3B, GSTR-9)
  • TDS and TCS Management
  • GST and TDS Reconciliation
  • Advanced GST Configuration: Tax Categories, HSN/SAC Codes, and Reverse Charge Mechanism
  • GST Auditing and Filing: Generating GST Audit Reports
  • GST on E-Commerce Transactions: Handling GST for E-Commerce Sellers and Buyers
  • TDS & TCS Advanced Configurations: Handling Different TDS/TCS Rates, Reporting, and Filing
  • Customizing Tax Reports and Returns
  • Customizing Reports: Creating and Modifying Reports (Financial, Inventory, etc.)
  • Tally Prime Dashboard: Setting up and Analyzing Custom Dashboards
  • Data Exporting and Importing: Exporting Reports to Excel, PDF, and XML formats
  • Multi-Company Reporting: Consolidating Financial Data Across Multiple Companies
  • Advanced Financial Reports: Cash Flow, Receivables/Payables, and Trial Balance
  • Data Backup and Restoration: Techniques for Backup, Restoring, and Data Integrity
  • Managing Multiple Users and Roles: Configuring User Permissions and Rights
  • Import and Export Data: Bulk Importing/Exporting Data using Tally
  • Creating Custom Invoices and Vouchers: Designing Templates for Vouchers and Invoices
  • Cost Centers and Cost Categories: Advanced Management for Cost Control
  • Consolidation of Multiple Companies: Inter-Company Transactions and Consolidated Reports
  • Handling Complex Transactions: Advanced Transactions and Entry Configuration

Who Can Join This Course?

This course is suitable for:

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Frequently Asked Questions

No, beginners from any background can join.

Yes, it is designed for direct job placement.

Yes, full placement assistance is provided.

Yes, you will receive course completion certificates.