See Every Dollar. Control Every Flow.
Provides a real-time, consolidated view of cash levels across all ATMs, vaults, teller drawers, and cash-in-transit vehicles, with configurable threshold alerts for low cash or excess cash situations.
Integrates with note-counting and authentication hardware to automatically flag and quarantine suspected counterfeit banknotes, generating incident reports for investigation and regulatory reporting.
A comprehensive module for managing cash inventory within branch vaults, including cash ordering, receipt, denomination management, and end-of-day reconciliation.
Provides branch managers and regional heads with detailed analytics on cash usage patterns, peak demand periods, and operational efficiency, enabling data-driven decisions on cash allocation.
Automates the daily reconciliation of ATM cassette loads, dispensed amounts, and rejected notes against transaction records, dramatically reducing the time and effort required for manual reconciliation.
Automatically generates the cash-related regulatory reports required by central banks and financial regulators, ensuring timely and accurate compliance submissions.
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