ATM Manager Pro R2018
coming Fall 2018
R2018 will offer a range of new cash management functionality, including:
Enhanced residual analysis and more data validation routines
Robust cash order file and cash load file input capability
New graphically oriented reports to enhance the cash forecasting process
- Automating the import files from your armored car, cash provider, or other data sources, so that you can incorporate actual costs into terms. This provides specificity when you are reviewing the profitability of a single ATM or a group of ATMs
Contact us today to learn more or request a personalized demo.
Complete the form to request a personalized demo.
Cash Forecasting Graph:
Overlays recent history with last years actual results
Cash Forecasting History:
Depicts cash loads and residuals graphically