ATM Forecasting
Replenishment Planning
Deep Optimization of Groups
Execution Monitoring
ATM Forecasting
Forecasting is an advanced, adaptive, self-learning statistical method that is based on the cash demand per denomination, drawing both from long-term as well as intraday data for each cash point and denomination.
It uses observed seasonal activity patterns, monthly payday patterns, configured event-days (configured within regional or cash point group calendars).
If historical data is present, no manual input is required for event-activities, as this is fully automatically derived from the historic information.
Forecasting is treating cash point data of withdrawals and deposits separately with any cash recycler and branch device, so that independent flows can be optimally forecasted.
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SES CCO Platform Solutions
Carrying you safely into the future.
Cash Center Optimization
Managing, monitoring and optimizing Cash Center-/Pool-Stocks and the support of reconciliation workflows.
Tour Optimization
Managing and optimizing CIT tours, seamlessly integrating cash planning and tour disposition.
Track & Trace
End-to-end track & trace of all cash shipments across the entire supply chain, combined with transparent monitoring.
SES Cash Cycle Calculator
Experience the Power of Automated Cash Planning
Sesami’s AI-driven predictive analytics and business intelligence allow organizations to optimize their cash cycle management, ensuring that they maintain the right balance of cash availability and operational efficiency.