API Console
Executive Summary
Track cash inventory, project demand and ensure all cash is accounted for within the branch
Examples of Use
Example of use:The branch management reviews the available float and confirms end of day balances at the teller positions
Role Definition
This service domain is responsible for tracking the available cash (currency) inventory held and distributed within the Branch location to teller and ATM positions, to ensure adequate float is always available at all positions. Also to check balances and see that excess cash is transferred to secure central storage as appropriate. If necessary specific criteria can be selected to refine the allocation
Related Business Scenarios
Core Business Object
Key Features
- Cash inventory usage and availability tracking
- Branch cash inventory requirements evaluation and planning
- Oversight of cash availability and movements within the branch