MTS ATM Maestro
ATM maestro is a complete ATM cash and operation management software used to automate end to end ATM cash cycle starting from forecasting cash demand ending with reconciliation of ATM cash including CIT order management, cash replenishment management, ATM cash reconciliation in addition to monitoring ATM operations including faults management, availability monitor, transactions and E-journal analysis and finally building data pool that collect information from imposed systems and generate decision support system for top management.
Key Benefits
- Optimizes cash levels maintained in each ATM.
- Increases ATM cash profit and save operation cost.
- Ensures transparency and timely execution of orders between bank and CIT companies
- Generates alerts for delayed activities based on agreed SLA
- Provides automatic ATM reconciliation without discrepancy saves time and cost significantly
- Reconciliation system work proactively to detect issues and take corrective actions
- Proactive ATM monitoring significantly increase ATM availability and decrease downtime
- Builds data warehouse for all ATM components and generate high level dashboard and reports to monitor end to end process helping in management decision support
- Provides customizable reporting for different levels of management