Account Reconciliation and Control Made Easy

BS PAYONE supplies you with the daily sales data of all processed card payments at your BS PAYONE terminals. The data, for instance, can be imported into your accounting environment to let you comfortably reconcile your accounts.

More information with electronic transaction display – This product is a comprehensive information system and especially suited and of interest for chain stores and merchants with multiple terminals or high transaction volume. Data is supplied on a daily basis, POS transactions are batched into a single file and transactions are clearly allocated to points of sale, branch or customer. Thus, nothing prevents your automatic account reconciliation or card transaction monitoring.


  • Expedited account reconciliation and control of card transactions
  • Basis for multiple and individual analysis and statistics
  • Easy data integration in accounting system via standard data formats (CSV) possible
  • All transaction data conform to PCI DSS

Supported Payment Methods

  • Credit card payments
  • Debit card payments incl GeldKarte


  • Additional transaction file by branch/merchant for easy account reconciliation
  • Data transfer via BSecure (SFTP), BS PAYONE Service Portal or optionally e-mail (PGP)
  • Microsoft Excel add-in for quick data analysis