How Branches Work
- Store Setup: Create and configure each store with its unique details.
- Agents: Assign team members as agents to specific stores. Agents can be linked to one or more terminals within their store.
- Terminals: Each store can have multiple visual terminals. Every terminal is assigned to an agent and has its own account number for receiving funds.
- Account Numbers: Both stores and terminals are issued unique account numbers. You can fund terminals directly, move money from terminals to the store, and credit or debit the store account as needed.
- Agent Access: Terminal agents can log in to view transactions and activity related to their assigned terminal(s).
Key Features
- Store List: View and manage all your stores from a single dashboard.
- Store Transactions: Track all transactions at the store level, including credits, debits, and transfers.
- Terminal Transactions: Monitor transactions for each terminal, including funds received and moved.
Example Workflow
- Set up a new store with its details.
- Add agents and assign them to the store.
- Create terminals for the store and assign agents to each terminal.
- Fund terminals as needed using their unique account numbers.
- Move funds from terminals to the store account for centralized management.
- Monitor transactions at both the store and terminal levels.
API
Refer to our API Documentation for integration details