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Last Updated: 17/09/2026
in π° Selling
Processing a cash sale on your terminal is quick and simple. Just follow these steps: Log In Enter your Staff Code and tap the Next ( > ) button. Enter the Sale Amount Use the keypad to enter the total amount, then tap CONFIRM ...
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Last Updated: 17/09/2026
in π° Selling
Your solution is fully integrated with the payment application on your terminal, making card payments quick and easy. Follow the steps below to process a sale: Log In Enter your Staff Code and tap the Next ( > ) button. Enter the...
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This is your main screen for processing transactions . Here, you can: Enter the amount for a Sale transaction. Open the menu ( β° ) in the top left to access other features. Log out using Sign Off in the top right. π Learn more:...
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Last Updated: 17/09/2026
in π Quick Start
Making a sale with your payment terminal is quick and simple. Just follow these steps: Log In Enter your Staff Code and tap the Next ( > ) button. Enter the Sale Amount Use the keypad to enter the total amount for the sale, the...
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Last Updated: 24/09/2025
in π¬ FAQ's
Register Pay is a licence type within the Register EPOS family . It transforms your payment terminal from being just a “card machine” into a powerful business tool, giving you access to features and insights that go far beyond the standard pay...
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Last Updated: 27/08/2025
in π§Ύ Receipts
If enabled by your Solution Provider , the system will display an EMAIL RECEIPT button on the Transaction Summary screen. βοΈ Sending an Email Receipt: Tap the EMAIL RECEIPT button Enter the customer's email address Tap SEND t...
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Last Updated: 27/08/2025
in π Quick Start
Enter Your Staff Code To log in, simply enter your Staff Code and tap the Next ( > ) button. Default Staff Accounts Your terminal comes pre-configured with two staff accounts: POS Supervisor – Staff Code: 0001 POS User – Sta...
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The End of Day screen generates a Z Report , showing all sales since the last end-of-day close. π For some payment integrations, completing this step also triggers batch close/settlement on your payment terminal. π Learn more: π How ...
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Last Updated: 06/08/2025
in π Reports
The End of Day process, also known as a Z Read , generates a summary of all transactions since the last Z Report. This step is essential for daily reconciliation and will also trigger batch close / settlement on many integrated payment terminal...
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Last Updated: 28/07/2025
in π¬ FAQ's
Your Solution Provider is the company that supplies and manages your Register system. In most cases, this will be the same company that provides your payment terminal. Your Solution Provider can assist you with: π§ Support queries π Upgra...