More than 4,700 armoured vehicles deployed
More than 4,700 armoured vehicles deployed
Cash in Transit: Prosegur guarantees the best transport service on the market for cash and valuables. Prosegur’s fleet of armoured vehicles, distributed across an extensive network of local branches, guarantees national coverage in all countries where the company is present and makes it possible to immediately attend to any pickup and transport requirements.
ATM Outsourcing: Comprehensive management of bank branch ATMs -forecasting, loading, monitoring, first and second level maintenance, balancing and other additional services-.
Cash Machines: Comprehensive management of the bank branch cash machines -note collectors, note and coin recyclers, note dispensers, bill payment machines, etc-.
Branch Forecasting: Using historical data for each institution, Prosegur can forecast cash needs in ATMs, branches and vaults. In this way, the amount of each delivery can be determined along with the duration until the next delivery. The aim is to optimise the response to the cash requirements of the bank, minimising costs, improving the process and providing the right amount of cash at the right time.
Bank Staff Outsourcing: Total or partial outsourcing of teller staff to Prosegur, whose personnel carry out all cash handling activities. Outsourcing cash management allows the banking institutions to optimise processes, generate internal savings and, most importantly, focus on the branch’s commercial activity.
Multi-Agencies: Premises with the infrastructure typical of a bank branch that Prosegur makes available to several banking institutions. Inside a Multi-Agency, Prosegur offers an alarm response team including teller activities, rental space for commercial banking services and cash machines. In this way, financial institutions can provide services to their customers without worrying about property or personnel management.
Comprehensive ATM cash flow management: Forecasting the cash requirements of ATMs, minimising financial and logistics costs, guaranteeing cash availability. Loading of cash in ATMs with the denominations ordered.
Balancing actual cash in the machine at the time of loading with the printed receipt collected at the same time.
Technical availability: Monitoring of the ATM network, management of retained cards and cassette stock or check-lists, sale or rental of ATMs and cash management devices (service offered in certain regions).
Collection and Counting: Collection of valuables (notes, coins, food vouchers, etc.), counting under camera surveillance and reporting to the banks so that they can transfer the amount to the client’s account. Safe Area: Cash management service involving the installation of a safe box on the client’s premises where cash is deposited until Prosegur’s arrival to collect and transfer it to the base, where it is counted under camera surveillance and reported to the banks so that they can transfer the amount to the client’s account.
Retail Machine Solution: Service whereby the end client may control the flow of cash in the machine and monitor everything that is taking place during the process in real time using the site MyProsegur.
Delivery of Notes and Coins: Cash preparation and delivery to clients in coin rolls or bags and note bundles, generally of small value, for giving change to customers.
Cash Exchange Modules: Preparation in the cash centre of defined note and coin mixes which are then delivered to the client in individual bags ready to be used by till staff at the start of their shift.
Issuing of Notes and Coins: Installation of devices in the client’s premises that enable the automatic issuing of notes and coins into compartments or directly into the till.
Recycling of Notes and Coins: Installation of devices on the client’s premises that allows the automatic recycling of notes and coins. The machine identifies fakes and prepares cash to be dispensed.
Information Management - MyProsegur: Online service for the end clients, which enables faster and better quality information to be provided, such as real time operation monitoring, service interaction, and real time information on takings
Processing of Checks: Administrative cheque management -verify validity, capture data and image and deliver these to a process centre for later management at the Electronic Compensation Center-.
Administrative Services: Cash management back-office administration.