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Steps for
Depositing Credit Card Transactions in PBADMIN
Added 04/22/99
Article ID#: KIN0001
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From the PBADMIN Main
Menu, choose "Select/Edit Transactions".

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Use <F8> to select transactions.

Normally, only transactions for the current date are listed in the
database (all previous transactions have been deposited). In
order to select ALL transactions, use <F10>. To select
transactions by date, press the <TAB> key to the date field and
enter the appropriate date, then press <F10> to accept.
- <ESCAPE> back to the Main Menu.
- Go to the Reports menu and print the
"Terminal Detail Report".

- Balance the Terminal Detail report to
the 719 report from RDP. Use the following balancing sheet for
balancing the two systems.

- Once the reports balance using the above
worksheet, choose "Deposit Selected" from the Main Menu.

- Verify the net balance and press
<F10> to begin settlement (DO NOT USE <F8>!!!!).

- Once the deposit is complete, view the
deposit log for today's date and look for the message beginning with
"GB", indicating a "Good Batch" or an
"OK", both indicate the deposit transmitted successfully.
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