Cash Optimization Solutions For Reliable ATM Cash Forecasting
Brink’s AI-enabled ATM cash forecasting solution is specifically designed to maximize cash availability and improve liquidity while reducing idle cash. This not only enhances the customer experience but also significantly reduces operating costs and optimizes the cash utilized in your ATM strategy.
We use predictive analysis to maintain a constant understanding of your cash position, accurately forecasting your cash needs to optimize load amounts and schedules. This ensures your ATMs operate efficiently and cost-effectively, contributing to superior ATM cash optimization.

Optimize Cash Inventory Across All Locations
Whether you choose Brink’s cash-in-transit (CIT) services or another CIT provider for ATM loading, our intelligent cash forecasting solution guarantees optimized loading for maximum cash efficiency and reduced operating costs.
Our automated tools and services for cash forecasting and planning result in cash flow optimization across your entire ATM network.
Why Choose Brink's For ATM Cash Forecasting?
Outsourcing to experts like Brink’s AMS saves time and money, freeing up valuable bank resources to focus on core services.
Maximize ATM cash availability and minimize residual cash with superior cash forecasting and cash optimization services
Optimize load amounts and schedules via precise ATM cash flow forecasting
Automated, AI-based cash forecasting platform delivers superior accuracy and stability, eliminating human error
Eliminate cash-outs for a better customer experience and increased customer loyalty
Gain complete visibility and control with precise cash forecasting and optimization for more informed decision-making.
Transform your ATM Cash Forecasting with Brink’s cash optimization services
Contact us to discover the benefits of partnering with Brink’s and transform your ATM services today.
Frequently Asked Questions
What is cash optimization, and how does it benefit my ATM network?
Cash optimization focuses on maximizing the availability of cash in your ATMs while simultaneously minimizing the amount of idle cash held.
It improves customer satisfaction by preventing cash-outs, while reducing operating costs associated with cash handling.
How does accurate cash forecasting improve liquidity and reduce idle funds?
By accurately forecasting your cash needs and optimizing load amounts and schedules, you avoid holding excessive amounts of cash in your ATMs.
By reducing residual cash, it improves your overall liquidity and frees up valuable capital that can be used for investments or other strategic initiatives within your bank or financial institution.
How does Brink’s forecast ATM cash needs using automation?
Brink’s AI-enabled, predictive cash forecasting solution uses advanced algorithms to eliminate human error, precisely predict ATM cash demands and dynamically adjusting cash replenishment for optimal stocking, which minimizes cash-outs and ATM downtime.
How does Brink's provide end-to-end cash visibility and control?
Our cash forecasting solution is designed to give you comprehensive insights into your cash position at all times.
We provide the data needed to maintain continuous visibility and control over your cash flow, ensuring efficiency whether you use Brink’s cash-in-transit services or another CIT provider.
Why should I trust Brink’s with my ATM cash forecasting needs?
Choosing Brink’s means partnering with a global leader in cash management solutions. Our expertise in cash optimization frees up your valuable resources so you can focus on your core services.
We provide accurate, AI-driven cash forecasting which transforms your ATM services for greater efficiency and customer satisfaction.