Many retail and financial institutions rely on relatively simple tools for planning their complex daily cash management operations. Today we use modern apps for many functions, but most in-house cash management tools are based on Excel® spreadsheets. While such tools are inexpensive to build, they increase your overall cost of managing your cash. Vynamic Cash Management is proven software technology that can provide a minimum savings of 15% from your current cash costs.
Achieve optimal coordination of all your cash point service orders – whether they are triggered centrally or decentrally; and executed by external transport companies or by the branches themselves through restocking.
Forecasts and optimally plans all service call-outs and order quantities in the cash point network automatically.
Synchronizes several cash services for multiple cash points at sites or branches.
Provides live-data processing of your ATM devices through intraday turnover profiles and enhanced planning precision.
Supports tour management with the objective of reducing required peak capacities and automating transport documentation.
Works with GS1 standards for the clear identification of shipping units, locations and products.
Electronically exchanges data for cash orders and deposit notifications and tracks the status of all orders as well as the corresponding deliveries with respect to central bank orders at any given time.
Uses dedicated algorithms and workflows to support commissioning and central cash ordering processes at the cash center.