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How to Close a Batch with Unsettled Transactions
Introduction If you experience issues with POS devices not closing batches in a timely manner, which delays funding to bank accounts, follow the steps belo...
Wed, 15 Jan, 2025 at 10:47 AM
Best Practices for Nightly POS Device Transaction Settlement
Nightly Device Transaction Settlement Our new PAX Point of Sale (POS) Devices automatically perform a settlement of transactions each evening. To ensure th...
Wed, 15 Jan, 2025 at 2:03 PM
How to Manually Settle POS Transactions
If you would prefer not to wait until the next settlement window or have devices that aren't consistently settling due to connectivity issues, you can m...
Thu, 6 Feb, 2025 at 11:51 AM
How to Manage and Prevent Expired POS Transactions
Introduction This article explains expired POS transactions, the fact that KEV will be making a one-time special deposit into the district’s bank account t...
Wed, 5 Feb, 2025 at 3:37 PM
Understanding the Correlation Between Batches and Funding Deposits
Introduction In the realm of school accounting, managing finances efficiently is crucial for maintaining accurate records and ensuring smooth operations. O...
Wed, 5 Feb, 2025 at 3:37 PM