ATM Manager Pro® – Financial Management – Extensive tracking and reporting of ATM performance
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ATM Manager Pro – Financial Management automatically generates detailed and customizable financial statements by terminal location. Income and expense equations, and multiple and tiered contract terms are maintained by location group and site. Monthly fees, cash liability costs, cash loan/transportation costs, and more than 55 daily-level transaction buckets can be used to calculate accurate month-end results. These calculations can support the most granular
level – a single automatic teller machine location analyzed by month – that enables the results to be reported by group and desired timeframe in order to analyze each site’s ongoing performance beyond the frequency of a withdrawal versus a deposit. This module is instrumental in ongoing budget development, new site ROI analysis, and monthly reporting to off-premise merchants for site lease payments and revenue sharing agreements. The Financial Management module can also be used to verify third-party vendor invoices, and analyze depreciation and other “soft” accounting elements. Each ATM deployer can customize its view of an ATM’s financial contributions and costs.
For more detailed information please visit the ProfitStars ATM Manager Pro Knowledge Center.