End of Day Reconciliation
Reconciliation is an important step to help finalise your total payments for the day.
How to finalise your total payments for the day
- From the main screen, select “Reconciliation”
- Enter your supervisor code when asked, if you do not know this, you can find it within your customer portal under Products.
- To start the reconciliation process, tap “Start”.
- A receipt will print (for the A80 and A920 Pro) and a completed message will be displayed. This receipt will show the totals for the current batch.
- Press the back button once you’re done to return to the main page.
Learn how to complete your end-of-day reconciliation on a PAX card machine. We’ll guide you through the process so you can match your totals, close off the day confidently, and keep your business records in great shape.