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Overview

Post transaction flow includes steps like clearance and settlement. In case of Sodexo, the settlements are processed by the Sodexo team based on the Transaction Extract provided by Zeta team.

Clearance

There is a clearance Depending on the terminal type, the process to clear the sales for a day which happens in the below fashion:will be different.

  • GPRS Terminals - There is an explicit clearance process
which is
  • triggered by the Switch.
  • ZPOS Terminals -
All the transactions on ZPOS terminals
  • Transactions are auto-cleared every day by
the
  • Zeta settlements service.
Note

All the cleared transactions in a day are provided daily in the daily a ZSR File, and all the pending uncleared transactions are provided in the a USR File.

Transaction Extract File

Transaction Extract file a.k.a TE File is a day-end report which is uploaded on the SFTP server by zeta at the end of the day (post midnight). 

Below is the format of the TE file:

FieldExample

Unique Ref Number

67825325244

RR Number

67825325179

Product Name

Meal

Merchant ID

92010001078871

Terminal ID

92099552

Acquirer ID

201721

Card Number

637513XXXXXX2943

Pseudo Card Number

928361000000

Transaction Code

0

Transaction Description

Purchase

Transaction Date Time

16/03/18 13:55

Processed Date Time

16/03/18 13:55

Transaction Currency

INR

DEBIT/CREDIT INDICATOR

D

Transaction Amount

0.01

Card Balance - After Txn

246.77

Auth Code

342008

Batch No


Invoice No


Response Code

0

Transaction Status

Success

Transaction Type

Super Tag

Reports

In the Control Panel tab of Zeta Store AppReports option provides you the Sales and the Settlements Reports which gives the is essentially a detailed information related to the of transactions made by the users. You need to select the type of the report you wish to view, the store and the transaction period for which the report has to be generated. 

The type of store to be selected depends on the implementation of the Zeta component in the cafeteria. The transaction period can be selected from the default options provided in the drop down or a custom period can be provided. The Sales and Settlement Report is displayed in tabular as well as graphical form. 

To view Reports, perform the following tasks.

  1. Log into the Zeta store app.
  2. Navigate to Control panel tab and select Reports.
  3. In the Reports section, select either Sales Report or Settlement Report to view either of the reports respectively.
  4. To view the reports, select the store and the transaction period for which you want the report to be displayed. 

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