Continue the solution journey
Place the solution in your industry, connect it to the platform layer, and define a practical next conversation.
Operating solution
Operating solution
Your operating scope travels with you
Explore and save equipment, ARKASH modules, and operating touchpoints to build a live decision brief.

Demand forecasting, cost-of-cash auditing, and strategic consulting that model improvement targets from your operating baseline.

4
Operating layers
T+0
Control window
24/7
Visibility
Cash orders, route schedules, and holdings are often managed with incomplete data. The first requirement is a reliable baseline for demand, availability, transport, and cost.
Baseline
ATM demand and holdings
Map
route and service constraints
Model
true cost of cash
Machine learning models analyze transaction patterns, seasonality, events, and economic indicators to predict cash demand at every ATM and branch.
End-to-end consulting: cost-of-cash audit, ROI modeling, cash center design, and implementation strategy. Free initial assessment.
Demand-led CIT route planning uses cash levels, constraints, and service policy to propose schedules for dispatcher review.
Cost
cost per completed stop
Error
forecast error by horizon
Cash
idle cash against policy
Route
service and exception rate
20,000,000 EGP
Estimated Annual Cash Cost
3,600,000 EGP
Estimated Annual Savings
1,980,000 EGP
55% reduction with automation
Estimated Payback Period
8 months
Unlock hidden savings with AI-powered demand forecasting, route optimization, and real-time cash position visibility across your entire network.

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