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Cash register integration: enter the amount once, the receipt prints itself

A bill closed in the POS is never typed into the cash register again. The amount goes to the device, the receipt and card payment are taken there, and the result comes back to the check.

Device integration

What does the cash register integration do?

In a restaurant a sale lives in two places: in the POS software that holds the order and the check, and in the cash register — the fiscal device (ÖKC) that prints the legal receipt. When the two don’t know about each other, the cashier closes the bill in the POS, keys the same amount into the register again and swipes the card on a separate terminal. At peak hours each of those steps produces errors: a wrong amount, a receipt never printed, a till that does not balance at close.

The integration turns those steps into one. When a bill is closed in HMS POS the amount is sent to the cash register; the receipt prints on the device, the card payment is taken on the same device and the payment result is written back to the check. Regulations also govern how sales software and cash registers work together, and the integration makes that requirement a natural part of daily work.

  • The bill amount is never re-keyed into the register
  • Receipt and card payment come from the same device
  • The payment result is posted to the check automatically
  • The POS report and the Z report draw on the same sales
Dapatkan Demo Gratis

How a bill closes

The bill is requested The cashier or waiter closes the check in HMS POS.
The amount goes to the device The check amount is sent to the cash register.
Payment is taken The card is read on the device and the receipt prints there.
The check closes The payment result is written back to the check.

What the cash register integration includes

The amount, once

The amount travels from the POS to the device; the cashier never keys the figure twice, so the risk of a wrong amount disappears.

Matched card payments

The card is read on a device paired with the bank terminal; once the payment is approved, the result is posted to the check.

End-of-day reconciliation

The POS end-of-day report and the register’s Z report draw on the same sales, so the two can be read side by side.

Regulatory compliance

Regulations govern how sales software and the cash register work together; with the integration that requirement is met as part of daily work.

Till control

Where does an unbalanced till come from?

The most common cause of a till difference is a bill closed in two separate places. A check closed in the POS may never have had its receipt printed on the register; the other way round, an amount keyed into the register may belong to a different check in the POS. With the integration every receipt comes from a check and every card payment is tied to one. At close both reports describe the same sales, so instead of hunting for differences you simply compare.

See it live

Till control

Every receipt comes from a check
Every card payment is tied to a check
No bill is left without a receipt
The POS report and Z report read side by side
Setup

How device compatibility and setup work

The first step is finding out which cash register model you have. Just send us the model; we check compatibility before setup and pair the device with you. If your device is not suitable for integration we talk through the options before setup too, so there are no surprises on the day of service.

See it live

Setup

Your device model is checked before setup
Our setup team pairs the device with you
Payment types and till settings are defined together
Staff training is given together with setup
Frequently asked

Frequently asked questions about the cash register integration

HMS POS integrates with new-generation fiscal cash registers (YN ÖKC); Ingenico and Verifone devices are examples. Send us the model you have and we will check compatibility before setup.
Not always. If your device is new-generation and suitable for integration, you keep using it. If not, we go through the options together before setup.
If the guest asks for an invoice the bill closes with an e-Archive invoice or e-Invoice; otherwise it closes with a register receipt. Either way the document comes from the same check, and if you use e-Adisyon the check is linked to that document.
Siap memulai?

Stop closing the till twice

Send us your cash register model and we will check compatibility together — then see bill closing in the 14-day free trial.

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