NCR APTRA OptiRecon is designed to streamline the process of cash management and balance reconciliation with the ATM, the vault and with the cash carrier. APTRA OptiRecon provides banks with leading-edge tools to perform detailed cash management - balancing and reconciliation of ATMs, carriers and cash vaults.
At many financial institutions, balance and reconciliation tends to be a labor-intensive process involving manual matches followed by manual creation of the associated general ledger transactions. These efforts are highly prone to error and need extensive safeguards and controls to meet audit and Sarbanes-Oxley requirements. APTRA OptiRecon ensures this burden is reduced so you can focus on your core business.





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