Service Details

ATM Cash Management

We provide efficient and reliable solutions for cash management of ATM machines. Our system has comprehensive tools of prediction models mainly based on data analytics, machine learning and neural networks to calculate the demand for cash at a particular location.

ATM Cash Forecasting

Optimal distribution and planning of cash is required for calculating the demand for cash at different service points. There are various bank cash flow forecasting models that are unknown for potential users. Forecasting tools are essential as it helps ensure the accuracy of forecasts. This is provided in our ATM cash management software.

Key Factors For Calculating Cash Demand

Some of the key factors for calculating cash demand in the network are as follows:

Annual Trend

This includes the general pattern for cash utilization within the infrastructure.

Seasonal Trend

This includes a set of patterns that can help to differentiate between user behavior depending mainly on the month (migration of cash demand between locations)

Monthly Trend

This is a set of patterns of changes across user activity in a month

Daily Trend

This is a comprehensive set of different patterns for every cash point based on user behavior within a day. This includes cash withdrawal throughout the day, and cash collection fro SME merchant

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