Set up Cikam Cash Machine as a payment terminal
The
Cikam Cash Machine can be set up as a cash payment terminal in SIDES.
The cash payment terminal independently accepts cash payments, returns
change, and automatically synchronizes all transactions with your POS
system.
Where
Admin: Store management > Stores > Edit > Payment type > Cash terminal (cash payment) > Yes.
Admin: SIDES Pay > Payment terminals > Add terminal. |
Introduction
With the Cikam Cash Machine you can process cash payments directly through a connected cash terminal. In order to use the terminal in the POS, it must first be set up in the SIDES Administration and then assigned to a POS.
Requirements
Before you create the payment terminal, you need:
- Access to SIDES Administration
- Permission to manage stores and payment terminals
- The machine secret from the terminal provider
- The PSP API key from the terminal provider
- A printer set up in the store for receipt printing
Activate payment type in store
Before the payment terminal can be set up, the payment type must be activated in the store.
Procedure:
- Navigate to Admin: Store management > Stores.
- Select the desired store and click "Edit".
- Open the "Payment type" tab.
- Activate the payment method "Cash terminal (cash payment)".
- Save the changes with "Save".

Create Cikam Cash Machine
Now the Cikam Cash Machine can be created.
Procedure:
- Navigate to Admin: SIDES Pay > Payment terminals.
- Make sure the desired store is selected.
- Click on "Add terminal".

- Select "Scenscio – Cikam Cash Machine" as the payment service provider.
- Assign a "Description". This description will later be displayed to the user at the POS when selecting the terminal.
- Enter the "Machine secret".
- Enter the "PSP API key". You get both values from the terminal provider.
- Select under "Cash register Binding" which POS the terminal should be used at.
Operation without fixed cash register binding is not provided. - Activate under "Payment types" the option "Cash terminal (cash payment)".
- Select the printer under "Printer to print the receipt" on which payment receipts should be output.
- Click on "Save".

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