Cash Processing
Collected takings are processed inside restricted-access facilities where volumes are verified, differences are documented, and results are published back to you as structured records you can reconcile against your own systems.
At a glance
Controlled counting, verification and reporting inside secure facilities.
- Banks
- Retail
- Supermarkets
- Commercial Businesses
What customers get from it
Independent verification of declared amounts
Documented difference handling with an audit trail
Structured records suitable for finance reconciliation
Reduced back-office counting effort in your business
Four steps, every time
- 1
Receive
Sealed containers are booked in and reconciled against transport records.
- 2
Verify
Contents are processed under camera coverage and dual-control procedures.
- 3
Document
Any difference to the declared figure is recorded with references.
- 4
Publish
Processing results are released to your reporting view.
Responsible handling, described plainly
These are internal operating practices described for illustration. No licences, certifications, accreditations or regulatory approvals are claimed.
Two-person crew protocols with documented chain-of-custody at every handover.
Tamper-evident sealed containers with barcode reconciliation at each scan point.
Route variation and journey management overseen by our operations control room.
Vetted, continuously trained personnel operating under written standard procedures.
Restricted-access facilities with layered physical controls and CCTV monitoring.
Where this service fits
Cash Processing questions
Related capabilities
Request Cash Processing
Tell us about your sites, volumes and trading hours. We will come back with a service outline.