
Configuration of cash dispenser mode
164
Siemens Building Technologies
Fire Safety & Security Products 03.2009
Time
The following settings can be made in the Time group field:
z Time synchronization:
If multiple cash dispensers are connected to a SISTORE MX NVS system this
specification can define which ones synchronize the SISTORE MX NVS system.
It is recommended to enable time synchronization only for one interface; if the
cash dispensers have different times, this is urgently necessary.
z Timeout:
After a set timeout period an active transaction is automatically ended. This is
necessary in order to close transactions properly for which the last specified step
is missing, for example with an account balance query. The specification of the
timeout is in seconds.
TIMEOUT=300
If a transaction is ended by a timeout, an archive entry with status=2 is made.
Delay of picture recording / seconds
The picture to picture field can be used to define the delay times in seconds
between the arrival of the telegram and the actual recording of the image:
The picture to picture dropdown is enabled if a telegram is to result in multiple
images being recorded by a camera or an image each from various cameras.
Picture recording / Camera sequence
Here you set the sequence of the cameras for image recording at the various
telegram times.
1. Click OK.
Î The setting will be saved.
You have two options to assign cash dispenser cameras:
z Mark the checkbox in front of the desired camera in the cash dispenser camera
list.
or
z Right-click on the cash dispenser camera list.
Î The SISTORE MX NVS context menu will open.
2. Mark Select all.
Î All cameras will be selected.
Note
You can assign a maximum of 3 cash dispenser cameras to each cash dispenser.
3. In the Stored for field, select the number of days that are to be saved and not
automatically overwritten.
4. In the Number of transactions field, select the number of transactions that are
to be saved and not automatically overwritten.
Fig. 148 Cash dispenser / access control General group field on the Banking tab
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