FEEL Reconciliation
- Reinvent balancing of your ATM cash and transactions

Increased productivity

Reduced operational risk

Shortened response time

Product Brochure


Introduction

As the volume of ATM increases, timely and accurate validation of transactions become more costly and error prone, introducing operational risk to an organization. ATM reconciliation automation and timely identification of transaction exceptions become vital for risk management and operational cost reduction. GRGBanking FEEL Reconciliation software can help to validate cash balance, ensure ATM transactions and cash replenishment are accurately represented in the bank's accounts, and quickly identify transaction exceptions to effectively manage disputes which usually cause consumer dissatisfaction. 

 

Features

Increased productivity

Reduction of manual data gathering and matching allow resources to be re-focused on other critical tasks such as managing exceptions or dispute handling

 

Reduced operational risk

Higher accuracy of the automation process allows for the expansion of your ATM network without having to invest in large back-office support team

 

Shortened response time

Quicker dispute resolution brings a better consumer experience, increased consumer loyalty and retention

 

Detailed logging

Tracking and reporting help support auditing and banking regulation compliance