Service

ATM Cash Management

We plan cash cycles across your ATM estate using demand patterns and historic dispense data, aiming to keep machines available while limiting idle cash sitting in the field.

At a glance

Forecasting, cycle planning and availability oversight for ATM estates.

  • Banks
  • ATM Operators
  • Fuel & Convenience
  • Retail
Benefits

What customers get from it

Fewer out-of-cash events across the estate

Less idle cash tied up in machines

Estate-wide visibility of cycle status

Coordinated planning with replenishment crews

How it works

Four steps, every time

  1. 1

    Analyse

    Historic dispense patterns are reviewed per machine.

  2. 2

    Forecast

    Cycle sizes and intervals are proposed for each site.

  3. 3

    Execute

    Replenishment runs are scheduled against the forecast.

  4. 4

    Review

    Performance is reviewed and forecasts adjusted.

Security procedures

Responsible handling, described plainly

These are internal operating practices described for illustration. No licences, certifications, accreditations or regulatory approvals are claimed.

  • Two-person crew protocols with documented chain-of-custody at every handover.

  • Tamper-evident sealed containers with barcode reconciliation at each scan point.

  • Route variation and journey management overseen by our operations control room.

  • Vetted, continuously trained personnel operating under written standard procedures.

  • Restricted-access facilities with layered physical controls and CCTV monitoring.

Industries

Where this service fits

FAQs

ATM Cash Management questions

Request ATM Cash Management

Tell us about your sites, volumes and trading hours. We will come back with a service outline.