cash-optimization-management

Cash Optimization Management

Cash Operations enable banks to achieve the right balance of cash in branches and throughout a bank’s ATM network to meet customer demand while avoiding holding an excess of cash that could be invested elsewhere. Through a sophisticated, three-tiered approach to forecasting, optimization, and automation, NCR’s Cash Management Solutions positively impacts all factors related to cash management, including forecasting, cost balancing, ordering, monitoring, expense tracking and more. OptiSuite provides a modular approach to building a true end-to-end cash general ledger system.

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