Business Reporting and Analytics
The module for advanced business reporting and analytics gives you a complete real-time overview of your financial operations.
Business Benefits
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View the live status of your cash levels at all times by quantity, denomination and device.
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Improve all in-store cash handling routines from the start to the end of the day.
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Generate advanced deposit, collection and end-of-day reports at a store or HQ level.
Business Reporting and Analytics
BALANCE gathers all operational data to provide a complete overview of your financial information so that you can take control of your financial events in real time. Use live custom fields which adapt to your financial procedures and operations.• Advanced reconciliation reports for deposit, collection and end of day
• Daily summary of cash sales, collections and refillings in one single view
• Balance of content at start and end of day
• Summary of cash collected by the CIT for that day
• Report for CIT activity in the store
• Activity report by cashier for individual reconciliation
Cash Level Monitoring
BALANCE optimises cash flow and ensures that cash levels are as you require them to be operationally.Monitor for a real-time overview of all notes and coins deposited in your devices by denomination, quantity and value.
Routine Optimisation
BALANCE enables you to identify where in-store cash handling routines can be improved. This saves time for store managers across all the typical daily tasks at the start of the day, end of the day and during opening hours. Refilling is made easier and issues, such as jam solving, are dealt with more quickly.Explore the benefits and discover what our software can do for your business
BALANCE is part of our modular software suite