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Cash and Logistics Solutions from Fiserv help you meet enterprise cash optimization requirements, reduce transportation expenses, track asset transfers, analyze and manage devices and comply with regulatory policies that affect your operations.
Cash optimization & forecasting Dramatically reduce the amount of cash you need to hold on hand throughout your vault, branch and ATM networks, and free up assets for investment. Use our non-earning asset solutions to:
- Automatically sweep transaction account balances into non-transaction accounts to transform idle funds into investment assets
- Save money by managing the cash balances required for your cash vault, branch and automated teller machines
Device profitability & management Improve the availability and profitability of your ATMs, kiosks and other cash dispensing devices. Our advanced monitoring and management solutions let you:
- Manage your devices and service providers, and automate problem detection, dispatching, escalation, resolution and enterprise reporting
- Gather the information to measure and manage profitability and the operational efficiency of your devices
Enterprise tracking & reconciliation Answer the regulatory pressure to track, trace and secure assets and reduce expenses. Our enterprise tracking and reconciliation solutions can:
- Streamline delivery and business process management by tracking sensitive assets throughout their process life-cycles, or to track the transfer of assets between locations
- Automate validation and reconciliation of invoices to eliminate losses due to vendor errors and better manage vendors
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