SANDMAR
C3Mi
Central
Cash Collection & Management Information System.
C3Mi provides a full Cash Reconciliation system for organisations
with multiple selling, or cash collection points.
At the Cash Office, funds arrive from the selling points
with operator cash declarations and automated documentation
from the selling point equipment e.g. Z totals printouts etc.
Cash office staff record within C3Mi the funds received from
each selling point by tender type. C3Mi Reconciliation module
will then indicate for investigation any discrepancies between
Expected Income, Declared Income and Banked Income.
Funds are deposited at the Bank, or transferred to the Vault.
C3Mi manages each step in the Collection, Reconciliation,
Storing and Banking of Funds.
C3Mi
provides extensive Audit & Management Reporting, including
WEB based reporting and Email Alerts to warn Management of
critical issues.
C3Mi features include:
- Automatic feeds from Point of Sales equipment.
- Full Denomination Breakdowns.
- Vault Management, including Loan Tracking.
- Full Discrepancy Tracking.
- Banking of Funds.
- Full Multi-Currency Support.
- Full Audit Trails.
- Links to Accounting Systems.
- Links to Hand held Terminals.
- Extensive System Configuration.
- Optimised Cash Office Operator Workflow.
- Sales Assistant entry of Z Total Expected and Declared in
Back Office.
- C3Mi handles both real Tills and User Cash Drawers from
multiple tills.
- A wide range of Management reports including Sales Target
Re-Forecasting.
C3Mi is supported by a Sybase SQL Studio Relational Database
System.
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