Ambit ATM Reconciliation

SunGard’s Ambit ATM Reconciliation is a reconciliation solution that helps banks automate the daily balancing of their ever-expanding ATM networks, which in turn represent a growing source of operational risk for the organization.

Ambit ATM Reconciliation ensures the accurate representation of all ATM transactions – including cash replenishment, withdrawals, deposits and transfers, in a bank’s accounts – and the validation of cash balances.

Use Ambit ATM Reconciliation software to:

  • Refine cash movement:

    Automate the ATM reconciliation process to optimize operational control, reduce risk and lower costs.
  • Improve control and transparency:

    Validate all points in the ATM reconciliation chain and reconcile payments to and receipts from third parties.
  • Minimize operational risk:

    Validate ATM cash, switch cash balances and physical cash.
  • Improve customer service:

    Manage disputes, claims and charge-backs through automated reconciliation and exception management software.
  • Increase visibility:

    Use comprehensive reports and dashboards to increase visibility and eliminate risk.

Ambit ATM Reconciliation is part of the Ambit Operational Control solution suite. Find out more about Ambit Operational Control.

SunGard’s Ambit reconciliation solution helps manage complex real-time confirmation matching and reconciliation across all lines of business, including nostro reconciliation, ATM reconciliation and more.  Ambit software suite provides comprehensive solutions to corporate banks. Ambit’s treasury management systems provide front-to-bank office treasury solutions that help banks improve cash, risk and liquidity management. And Ambit’s lease management software provides a comprehensive leasing system that helps banks manage products, partners and applications more effectively.