Physical cash is a key part of your business – it might be an ATM fleet, or a high volume of cash being received or paid out to customers and others. With sophisticated analytical models Prosegur will tailor to your business requirements; to keep cash levels at just the right amount, while minimising the frequency of cash transportation.
Our cash forecasting solution uses the latest modelling technology, combined with our expert forecasting analysts, to plan the ideal timing of cash transportation based on your business drivers. This means that you reduce the cost of transport, while managing your cash holding costs and its associated risk.
Every customer – indeed, every site – requires individual planning, to understand the drivers of cash fluctuations. We forecast for banking and ATM customers across Australia and around 15,000 sites globally. Prosegur will effectively manage your cash operations to ensure accuracy and reliable cash availability.