Financial Institutions

Total Visibility Across Your ATM Network. Full Control Without the Complexity.

Purpose-built for banks and credit unions, Sonas connects ATM cash handling, forecasting, reconciliation, and analytics into a single bank cash management software solution.

Financial institutions cash management solutions

ATM Cash Management is Complex. Visibility is Critical.

Without cash handling software for banks and credit unions, teams often lack real-time visibility of ATM cash. Legacy tools and spreadsheets slow reconciliation, and delay dispute resolution.

Cash Forecasting is Inaccurate and Costly

Fixed schedules and limited analytics lead to excess idle cash or shortages, increasing costs and operational risk.

No Real-Time View of Vault Balances

Without live visibility across vaults and third-party holdings, it’s difficult to accurately track cash positions or make informed decisions.

ATM Reconciliation is Complex and Manual

Without bank cash management software, reconciling loaded, dispensed, and returned cash is slow, error-prone, and difficult to audit with spreadsheets or legacy systems.

Managing Cash Partner Relationships is Challenging

Coordinating CIT providers and monitoring their performance is hard without visibility into their operations.

Customer Disputes Are Hard to Resolve

Investigating ATM claims across systems and partners is slow, frustrating, and resource-intensive.

Data is Fragmented Across Systems

ATM, card transactions, bank statement, and partner data are scattered, limiting transparency and slowing decision-making.

A Complete Suite for Your Cash Operations

Sonas delivers a modular suite that adapts to your operating model. Each product supports a core function through scalable cash management software for banks, enabling modernisation without disruption.

Smarter Cash Management, Better Decisions

Optimise Cash

Use transactional data and analytics to forecast demand, optimise cash levels, and reduce idle inventory, supported by powerful analytics.

Automated Reconciliation

Automatically match ATM transactions and balances across systems with Sonas, delivering accurate reconciliation with full audit trails.

Total Cash Visibility

Access a trusted view of cash across ATMs, internal vaults, and third-party holdings - so banks and credit unions always know their position.

Improved Customer Experience

Resolve ATM disputes faster with centralised evidence and automated workflows, while maintaining full compliance.

Sonas Cash Management Software Built for Banks & Credit Unions

See how Sonas helps banks and credit unions modernise ATM cash oversight, improve accuracy, and reduce operational risk.

Mobile App

Record Branch ATM Replenishments

Branch staff can record ATM replenishments on-site and capture receipts or photos, with data instantly available to head office through cash handling software for banks.

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Branch Replenishment: Record in-branch ATM replenishments.

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Digital Verification & Evidence: Capture receipts and photos to support audits.

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Real-Time Reporting: All branch updates are instantly visible to the head office.

Mobile app for branch ATM replenishment and reporting
Resources
Ready to Modernise Bank Cash Management?

Discover how Sonas delivers flexible cash management software for banks and credit unions, supporting accuracy, compliance, and smarter decision-making.

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Resources for cash management operations transformation