Accounts Handling

Accounts HandlingAt Cashbox we understand that cash flow is the lifeblood of your business, which is where our finance department comes into its own. Customers with merchant fill machines want to see the money drawn from their ATM back into their account as quickly as possible, which we promise to do within 3 working days of Cashbox receiving your end of day report. For multi-site customers this can also be supported by a daily report to enable our customers to reconcile cash easily.

You know that an ATM will increase your business turnover and customer satisfaction. It can also contribute a sizeable commission to your overall takings, which accrues from the very first successful transaction at your site. We want you to reap the benefits of this as quickly as possible, without the hassle of invoicing or waiting for cheques.

Our finance department will arrange for your commission to arrive promptly each month into your designated bank account via a BACS payment. For multi-site customers, a monthly transaction analysis can be delivered via email for you to reconcile your commission payments.

A seamless process and a hassle free benefit to our customers.

 

 

 

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In Partnership for Your Customers' Convenience