Account Reconciliation and Control Made Easy
B+S tim.data supplies you with the daily sales data of all processed card payments at your B+S 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), B+S Service Portal or optionally e-mail (PGP)
- Microsoft Excel add-in for quick data analysis