Financial institutions must ensure uninterrupted availability, control cash supply costs, and guarantee full accuracy of transactions, all while operating across multiple vendors, devices, and data sources.
Key challenges include:
• Rising ATM operational and cash supply costs
• Increasing ATM fleet size and transaction volumes
• Manual, fragmented, and error-prone operational processes
• Multiple stakeholders involved in a single transaction lifecycle
• Strict regulatory and audit requirements
• High customer expectations for uptime and service quality
Without advanced ATM software, institutions face downtime, cash-outs, reconciliation delays, financial risk, and limited operational visibility.
We provide three independent, best-of-breed solutions that can be deployed separately according to your business needs:
• Device Monitoring Software
• Cash Management & Optimization Software
• Reconciliation Software
Each offering is vendor-independent and built to support secure, scalable, and efficient ATM operations.
• Proven technologies from trusted partners such as NCR Atleos and SBS
• Deep expertise in ATM and self-service environments
• Highly skilled monitoring, cash, and operations specialists
• Long-term experience delivering mission-critical banking solutions
• Enterprise-grade reliability, security, and compliance
• Increased ATM availability and service continuity
• Reduced cash supply and operational costs
• Improved transparency across devices, cash, and transactions
• Lower operational and regulatory risk
• Higher efficiency through automation
• Scalable solutions for growing and multi-vendor ATM networks
Printec offers three standalone ATM software solutions. Each addresses a critical operational domain and delivers immediate business value. Full Visibility. Maximum Availability. Reduced Costs. A centralized solution for real-time monitoring and management of ATMs, ITMs, and self-service devices.
Minimize Costs. Maximize Availability. Beyond Cash. An advanced cash management and optimization solution using proven mathematical modeling to forecast, distribute, and optimize cash across the self-service network.
Automated Control of Cash, Transactions & Risk. A highly configurable solution that automates the reconciliation of cash and transactions across multiple internal and external data sources.
We offer 24/7 expert technical support, training, and maintenance across 100+ service points, helping clients minimize costs, maximize satisfaction, and maintain critical operations throughout Central and Eastern Europe with unmatched geographic reach.