ATM Balancing and Replenishment Services
ATM Balancing and Replenishment Services allow the bank to maximize the profitability of their ATMs by ensuring the ATM is replenished on a regular, scheduled basis. Additionally, the bank removes the liability of having their employees replenish ATMs (especially for remote or outside access ATMs) and allows the bank personnel to remain focused on their customers.
Balancing and replenishment services can be provided on the schedule that best suits your ATM volume, whether it is bi-weekly, weekly, monthly, bi-monthly.
Balancing and Replenishing Services include:
- Balancing and Replenishment Services completed under dual control
- Replenish currency and balance ATM
- Customized balance sheet to fit the bank's needs and operation
- Replenishment of receipt paper, audit paper or disks, inking kits and ribbons if needed
- Weekly cleaning of ATM fascia, CTR and sensors
- Cleaning and maintaining all remote site ATM facilities
- Maintaining the security camera system where applicable
- Emergency Replenishment services available upon request
Balancing and Replenishment Services are provided by Alert's team of personnel who have extensive experience working with a variety of ATMs.