Automating ATM Cash Management: Reconciliations & Reporting

24 Jan 2018
Company
Date submitted
24 Jan 2018
Resource type
White paper
File type
Web page Web page
his paper explores how to use software to fully support ATM cash management, reconciliation and reporting processes.

There are several challenges to manual ATM reconciliation and cash management, including:

-Manual Controls
-Internal Uncontrolled Interface
-Substandard Data Quality Exacerbated by Increasing Volumes
-Inflexible Systems which do not Support Reconciliation and Reporting Requirements
To access white papers, case studies and best practices. Please sign up to become a member of bobsguide. If you are already a member please log in.
Enter your email address
Password
Remember my email address