Centralised Forecasting and Cost Optimisation
Our analysts have spent years developing and optomising forecasting, integration processes and systems for the efficient collection, processing and logistical transfer of cash.
Our dedication to continuous improvement has significantly reduced the cost of cash for our customers, led to a major share of the market, and created a world’s best practice currency management model in the process.
We provide cash forecasting, cost optimisation, modeling and servicing for:
- Retail self service devices
- Bank branches
- Retail cash
- Other financial institutions such as Credit Unions and Building Societies