Cash Management Services

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Cash Management Services

Optimize the cash inventory management process necessary for the operation of financial and commercial entities, based on knowledge of the cash market (Agents involved, customer service points, offices, ATMs, collection points and value carriers)

BRINK'S CASH MANAGEMENT Overview

We efficiently manage surplus cash.

We consider the big picture—helping customers to reduce costs, improve access to capital, automate internal processes, and gain unprecedented visibility into their cash flow near real-time. Maintain sufficient cash balances, in order to balance the variables, cost, service, benefit and risk efficiently.

Introducing Cash Forecasting

Comprehensive management of the cash cycle for the network of Branches and Automatic Teller Machines (ATMs) using statistical models developed by Brinks, ensuring optimal availability of cash and uptime (online time) for ATMs and branches, through forecasts, balance monitoring and use of patterns programming of services for the points of the network, mitigating the risks of excess and depletion of cash.

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