Settlement and terminal reporting

Learn how to track and review your transactions through settlement reports in the Merchant panel and reporting tools on your Nets SmartPOS terminal. You’ll see how online and terminal payments appear in the same settlement cycle, where to find the latest reports, and how to use terminal features such as reconciliation and daily sales reports.

Payment terminal and online transactions in settlement reports

Payment terminal and online transactions are included in the same settlement cycle. You can check your cycle in the Merchant panel under Settings > Settlement settings.

You’ll find the latest settlement reports on the Merchant panel homepage. They are also available in the left-hand menu under Settlement reports.  Learn more about settlement reports.

End-of-day (EOD) reconciliation on the terminal

End-of-day reconciliation ensures that all transactions are successfully transmitted. On the Nets SmartPOS N950 terminal, reconciliation runs automatically, so you do not need to perform it manually.

You can also review sales activity directly on the terminal:

  • Check the last 30 days of transactions in the Transactions app
  • Print a daily report in the Npay app

Printing a daily sales report

If you need a paper summary of the day’s transactions, you can print a daily sales report from the Npay app on your terminal. This report is useful for bookkeeping and sales monitoring.

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