Continue the industry journey
Explore the relevant solution, match the equipment scope, and bring your actual workload into the next step.
Industry operating model
Industry operating model
Your operating scope travels with you
Explore and save equipment, ARKASH modules, and operating touchpoints to build a live decision brief.

Egyptian branch networks need a controlled path from teller handling to vault reconciliation and treasury visibility. CashPrime designs the device, data, and service layers around that flow.
Industry command view
Operational fit
MEA
Regional fit
T+0
Control-ready
24/7
Visibility
Risk
Controlled
Coverage
Regional
Relevant Solutions
Corporate clients queue to deposit cash manually. On salary days: full operational breakdown.
Branches simultaneously run out and carry excess. ATMs run dry unpredictably. Forecasting is guesswork.
Manual counts mean manual errors. Discrepancies surface days later — after cash has already moved.
Teller Cash Recyclers accept, authenticate, store, and dispense cash within a controlled branch workflow.
Explore Circulate & RecycleARKASH connects configured branch, vault, ATM, and exception data for treasury operations.
Explore the PlatformATM E-Lock systems replace physical keys with controlled digital access, policy enforcement, and an audit trail.
Explore Secure & TransportARKASH supports ATM demand forecasting, branch ordering, and vault management with targets modelled from the operating baseline.
Explore IntelligenceBaseline
Teller cash-handling effort
Model
Branch cash inventory target
SLA
Device availability target
Pilot
Payback period to validate
CashPrime’s banking specialists will design an automation roadmap specific to your branch count, ATM fleet, and volumes.