Cash Forecasting and Management
Our currency management drives our scheduled operations to help reduce your running costs.
We understand that the more efficient we are in the forecasting and management of our cash in transit services – the more savings we can create for our customers.
Finance Commentator Ross Greenwood explains the Armaguard Group's cash forecasting and Virtual Vault models
Our cash management system electronically tracks the usage of every individual ATM we monitor, and data is returned for inspection by our team of analysts.
It’s this data that is used to optimise our forecasting system and establish optimum restock levels and service frequency. We also use this information to inform our cash in transit operations, delivery route and schedule.