Cash Load Procedures Please follow the following cash load procedures, otherwise, it will result in the last transaction before a cash load, getting auto reversed despite having been a good dispense. The terminal must communicate to Switch Commerce both before and after a cash load to relay the last transaction, the old balance, and the new balance.
- Day Total or Trial Day Total Sends Switch Commerce a message containing the current bill count before the cash load (Ending Balance)
- Cassette Total
- Add Cash
- Trial Day Total Sends Switch Commerce a message containing the [NEW] bill count after the cash load (New Balance)
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