POS Receipting

Point-of-Sale is an integral part of any great Cashiering solution. Teller provides a comprehensive and configurable system that is easy-to-use by agency cashiers.

Teller unifies receipt printing, barcode scanning, credit processing, check capture and cash drawer automation with integrated client business systems. 


Browser-based Cashiering

Delivers a modern and intuitive Web-based user experience for all POS transactions. Teller is truly browser-based, not a thick-client POS solution with a web companion application. Teller’s secure device management ensures an optimal integrated experience with a small and easy to manage IT footprint.  Teller utilizes Amazon Web Services (AWS) for hosting.

One Transaction, Unlimited Options

Teller streamlines transactional processing by allowing an unlimited number of user-defined forms of payment to pay a variety of fees.  Multiple business and billing systems invoices can also be paid within a single transaction.

Integrated Client Business Systems – No Duplicate Data Entry

Eliminates duplicate data entry with Teller’s secure, rich integration framework to integrate with your software data systems. Through Batch integration, Real-time integration, Web Services, REST API, Database queries and more, Teller provides options to fit your situation.

Seamless Hardware Integration

Teller seamlessly integrates with industry-standard Point of Sale peripherals. Teller’s automated payment processing system is easy-to-use, utilizing the latest technology enabling unified receipt printing, barcode scanning, credit processing, check capture and cash drawer automation.

Automated Check Processing

Teller provides a full set of check processing functionality, enabling you to fully handle check scanning, endorsement, on-screen review, amount recognition and ICL bank deposit. Simply insert the check into a scanner and let Teller do the rest.

Teller’s Drawer Session Management

Teller’s Drawer Session Management system delivers integrity and transparency for cashiers as they cash in, take payments, and balance their drawers. Daily closing activities are built into, enabling secondary balancing and reporting of transactions prior to sending data to an integrated financial system.

In-place Transaction Adjustment and Void Options

Users with appropriate security privileges can void or adjust payments. Intuitive Void and Adjust Payment windows make it easy for a cashier to fill out the data, with summary display and optional approval step.


What Our Clients Are Saying About Us

They were always engaged. I never felt I was out in left field. It was truly like we were their only customer. I have nothing but positive things to say.

Anthony Glenn

Treasurer Department Project Manager, Clark County, WA