NCR Currency Management Datasheet

 

A clever currency management solution that reacts to your needs

Making cash available through your ATM network is a vital part of satisfying your customers. With cash moving through an increasing number of locations, NCR Currency Management will ensure that cash levels across the network are optimized, keeping your money working for you. Based upon computer modeling of cash management needs from past usage trends in conjunction with upcoming events, NCR will forecast future cash management requirements and determine the proper replenishment amount for each cash delivery.
  • Take control of your cash requirements with confidence
    NCR Currency Management balances the risk of “cash outs” against the opportunity cost of holding cash in the network. This removes the burden of managing cash and results in cost savings and maximized ATM and branch cash availability. And you can enjoy peace of mind knowing that we employ pre-emptive cash-out prediction techniques so potential cash situations can be detected before they happen.
  • Cost optimization–a formula for success
    By systematically taking into account the cost of cash itself and the cost of handling cash, NCR Currency Management optimizes and balances these dynamic variables. This ensures that the right amount that the right amount of cash is at the right location at the right time providing you with maximum revenue, profit and customer satisfaction.
  • Individual modeling for every ATM in your network Effective currency management requires an accurate picture of individual ATM usage. Taking into account differences in location, customer type, frequency of use, currency demand patterns and cash carrier schedules, NCR constructs a custom model of cash demand for each of your ATMs.