INETCO Solutions for Reconciliation & ATM Dispute Resolution
Every year, financial institutions (FIs) spend countless hours searching through bank records in different systems to conduct reconciliation and ATM cash dispute investigations. Increasingly sophisticated ATM networks have resulted in more diverse data formats and data sources than ever before. As a result, FIs are often dealing with:
- Inconsistent ATM electronic journal data gathered across fleets of multi-vendor ATMs
- Partial transaction records and incomplete reconciliation due to unstructured and sub-standard data quality
- Longer investigations into each disputed transaction due to high volume scalability issues
Improve the data quality and efficiency of exception management and system-to-system transaction reconciliation processes with INETCO solutions
INETCO solutions for Reconciliation and ATM Cash Dispute Resolution provide a uniquely comprehensive, end-to-end view of real-time ATM transactions. Through the automation of end-to-end transaction data collection, FIs have the opportunity to greatly improve the data quality and efficiency of exception management and system-to-system transaction reconciliation processes related to ATM cash dispute investigations.
INETCO solutions can further help you to speed up exception management by providing real-time transaction discrepancy alerts and highlighting eligible transactions for initiating the transaction reversal process.
With INETCO Solutions for Reconciliation and ATM Cash Dispute Resolution, you can now:
- Collect and consolidate underlying transaction data across the end-to-end transaction path for faster data matching and reconciliation
- Speed up exception management with real-time transaction alerts and ATM cash handler dispense errors
- Combine transaction data feeds and file based data sources to replace data sources that are harder to access, such as multi-vendor ATM Electronic Journals
- Quickly initiate the transaction reversal process by generating a list with eligible transactions
- Calculate individual ATM cash levels based on withdrawals and replenishment events
Are you ready to improve your exception management and system-to-system transaction reconciliation processes?
Schedule your demonstration of the INETCO Solutions today!