ATM Manager Pro - Asset & Site Management
Powerful management of ATM assets, terminals, and transactions
Asset and Site Management, the core component of the ATM Manager Pro product suite, consolidates and manages asset, terminal location, and transaction information. The asset information maintained includes each automatic teller machine’s serial number, manufacturer, model, and location history. The terminal location information tracked includes terminal identification, ownership, vendor affiliations, groupings, cash forecasting and replenishment settings, and settlement information. The virtually unlimited transaction information that can be maintained includes summaries of each terminal’s daily transactions that are automatically imported from the respective switch or third-party processor. Sophisticated transaction analysis can be performed based on more than 55 transaction buckets including deposits, withdrawals, inquiries, statements, and denials; and advanced transactions such as bill pay, check cashing, pre-paids, EBT, and foreign activity.
What It Does
Consolidates and manages asset, terminal location and transaction information.
Maintains asset information including each ATM’s serial number, manufacturer, model and location history.
Includes an optional asset configuration and compliance component to expand the asset information to include hardware/software configuration, options, regulatory compliance with the ADA, 3DES security and fixed asset information, and more.
Maintains comprehensive terminal location information including terminal identification, ownership, vendor affiliations, groupings, cash forecasting and replenishment settings, settlement information and more.
Maintains virtually unlimited transaction information including summaries of each terminal’s daily transactions, and supports transaction analysis based on more than 55 transaction buckets.
Provides an optional transaction warehouse component to maintain additional transaction information including card number, authorization network, time-of-day, acquirer and issuer transactions, and more.
What It Does For Me
Consolidates a traditionally fragmented channel management approach that is typically spread among multiple business units and managers into a consolidated, highly effective management solution.
Supports compliance with Sarbanes-Oxley by generating a system of records for the ATM channel.
Minimizes manual data entry and duplication.