Merchant Close: SI Mode - Closing the Debit/Credit Batch

In Semi-Integrated mode, close your debit/credit batch.
 

Step 1: Print a debit/credit Stored Transactions Report

1.  Start the transaction on the iCT250 terminal:

From the READY screen:

To navigate through the menus:

- Scroll down: press
the key_f1-r.jpg key to move the highlight bar down.
- Scroll up: press
the key_f3-r.jpg key to move the highlight bar up.
- Select a
highlighted item: press the key_okay-r.jpg  key.

For information about the keys...

a. Press the key_admin-r.jpg  key, select REPORTS, and select TRANS LIST.

b.  When SWIPE ADMIN CARD displays on the terminal, swipe the POS Admin card, or press the key_okay-r.jpg  key to continue.

c. If ENTER CLERK ID displays on the terminal, key in a Clerk ID, and press the key_okay-r.jpg  key to print totals for that Clerk ID. Otherwise, simply press the key_okay-r.jpg  key to print totals for all Clerk IDs.

d. When PRINT DATE OR BATCH? displays on the terminal, press the key_f3-r.jpg key (BATCH) to print the report by Batch.

e. Press the key_okay-r.jpg  key to print the report for the current batch.

f. When PRINT TOTALS ONLY? displays on the terminal, press the key_f1-r.jpg key (YES) to print only the terminal batch totals (including the Cashback total).

g. Wait while the terminal prints the report and then returns to the WELCOME/BONJOUR screen.
 

Step 2:  Process a debit/credit Close Batch transaction

1. Start the transaction from your ECR:

a. Select the close batch transaction type.

b. Select the debit/credit close batch type.

 • If required, enter clerk ID data.

c. Send the transaction request.

2. Continue the transaction on the iCT250 terminal:

• If ENTER CLERK ID appears, key in your Clerk ID, and press the key_okay-r.jpg  key.

a. When the terminal starts to print the Batch Totals report and communicates with the Moneris Host, go to step b.

b. When the terminal finishes printing the Batch Totals report, wait for the terminal to return to the WELCOME/BONJOUR screen.
 

Step 3:  Confirmation

Confirm that the totals on the Stored Transactions report (printed in step 1) match the totals on the Batch Totals report (printed in step 2).  If they do not match, call us toll free at 1-866-319-7450 the next business day for reconciliation assistance.