- Remote key loading to reduce key management cost

Validate cash balance

Ensure ATM transactions

Effectively manage disputes

Product Brochure


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. 



● Initialize MasterKey during new machine installation

● Update MasterKey when upgrading terminal software

● Update MasterKey when the transaction count reach a number

● Update MasterKey in a fixed time period

● Maintenance personnel updates MasterKey actively