Banking terminal control
  • Русский

BANKING POS-TERMINAL EXTERNAL CONTROL VIA RETAIL PRO

CASHIER SCANS THE ITEMS INTO
RETAIL PRO AND STARTS ISSUING SALE
RECEIPT

AFTER THE CUSTOMER HAVE CHOSEN THE CREDIT
CARD AS A PAYMENT METHOD THE CASHIER:

WITHOUT THE PLUGIN

WITH THE PLUGIN

MANUALLY ENTERS THE AMOUNT IN THE
POS-TERMINAL

CASHIER GETS A CONFIRMATION OF SUCCESSFUL TRANSACTION

AFTER THIS HE GOES BACK INTO RETAIL PRO TO
COMPLETE THE SALE

POS-TERMINAL SLIP SHOULD BE SAVED IN ORDER TO
CORRECTLY PROCESS THE RETURN FOR THIS ITEM
IF IT IS NEEDED

SELECT THE APPROPRIATE MENU ITEM IN
RETAIL PRO

AFTER THE CUSTOMER ENTERS THE PIN-CODE
AND PROCESSING CENTRE CONFIRMS THE
TRANSACTION, THE TRANSACTION WINDOW
CLOSES AUTOMATICALLY IN THE RETAIL PRO

A UNIQUE TRANSACTION NUMBER IS SAVED IN
THE RETAIL PRO TO PROCESS A CORRECT
RETURN

PLUGIN ADVANTAGES

ELIMINATES ANY
MISTAKES RELATED TO
MANUAL INPUT OF THE
TRANSACTION
AMOUNTS

SIGNIFICANTLY
REDUCES THE AVERAGE DURATION OF
THE TRANSACTION

MAKES
CUSTOMER EXPERIENCE
MORE SOLID, WHILE
SIMPLIFYING CASHIER’S
RESPONSIBILITIES




OR

CHOOSE THE MOST SUITABLE OPTION FOR YOU:
GENERAL INTEREST IN RETAIL PRO (WE WILL GLADLY CONTACT YOU AND ANSWER ALL OF YOUR QUESTIONS)

REQUEST A DEMO


algoritm@aks.ru

+7 (495) 989-57-64