Har Site (Project) ka alag Profit & Loss Tally mein kaise nikalein?

Real estate aur construction mein multiple sites ka kharcha aur profit track karna mushkil hai? Janiye Tally Prime ke Cost Centre tracking se yeh kaise aasan hota hai.

By AndurilTech Team2 min read
## Construction Business ki Sabse Badi Problem Ek builder ya thekedar ek hi time par 3-4 alag-alag sites par kaam karwa raha hota hai. Kahin material gir raha hai, kahin labour payment ho rahi hai. Mahine ke aakhir mein CA kehta hai, "Sir, total company ko is mahine ₹2 lakh ka profit hua." Lekin ek builder ko yeh jaanna zaroori hota hai: **"Kaunsi site ne mujhe profit diya aur kaunsi site par mera nuksaan ho raha hai?"** Normally, account departments alag-alag excel sheets maintain karte hain. Jis wajah se bank balance aur excel balance kabhi match nahi hota. ### Tally Prime mein Project-Wise Tracking (Cost Centres) Humare [Real Estate Tally Customization](/tally-real-estate-tdl) se hum Tally ko theek waisa hi bana dete hain jaisa ek builder ko chahiye. **Yeh kaise kaam karta hai?** 1. **Cost Centre Creation:** Hum aapke har naye project/site ko as a "Cost Centre" Tally mein define karte hain. (e.g., Site A - Vasundhara, Site B - Indirapuram). 2. **Mandatory Tagging:** Jab bhi accountant koi kharcha (Labour, Cement, Transport) ya receipt (Advance from Flat buyer) enter karega, toh usko site ka naam select karna padega. Iske bina entry save nahi hogi. 3. **One-Click P&L:** Ab aap Tally mein "Cost Centre Breakup" report kholenge, aur aapko har site ka alag Trading aur Profit & Loss account dikh jayega. Is feature ke bina ek real estate business hamesha andhere mein rehta hai ki uski asal cost kya baith rahi hai. Tally ko theek se setup kijiye aur apne projects ko control mein laiye.

Want to implement this in your business?

Contact our Experts