How much time is cash taking away from your business?

Every minute spent counting, reconciling, and managing cash is time taken away from customers and operations.

Probably More Than You Think

Many businesses underestimate the time spent counting cash, balancing tills, investigating discrepancies, and preparing deposits.
Across multiple locations, these manual activities can consume valuable operational time and create unnecessary complexity.
Brink's connected devices automate cash acceptance, validation, and storage, reducing manual touchpoints and providing a foundation for greater visibility and control across your cash operation.

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The Right Device for Every Cash Environment

Whether you operate a store, supermarket, restaurant, fuel station, pharmacy, or multi-site retail network, the right device can help simplify cash handling and improve visibility across your operation.

Smart Safe

Secure acceptance and validated counting for environments that require dependable accuracy and fewer manual touchpoints.

Cash Recycler

Cash acceptance and dispense functionality that supports efficient till operations and helps keep lanes running smoothly.

Accept. Validate. Secure. Connect.

A connected device strategy helps businesses reduce manual touchpoints, improve data accuracy, and strengthen visibility across daily cash operations.

From Cash Handling to Cash Intelligence

  1. Accept: Cash is placed into the device as part of the store’s daily handling process.
  2. Validate: The device validates and records the cash received.
  3. Secure: Cash remains protected within the device under sealed custody.
  4. Connect: Device events flow into portal dashboards to support scheduling, reconciliation, and daily visibility.
  5. Optimize: Device data supports reporting, reconciliation, funding, and operational visibility across the wider cash ecosystem.

More Than a Device

Brink's devices do more than accept and secure cash.

They become the starting point of a connected cash-management ecosystem that supports reporting, reconciliation, transport, funding, and operational visibility.

  • Device events feed the portal
  • Supports scheduling and reconciliation
  • Improves visibility across day-to-day cash activity.
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Find the Best Fit for Your Operations

The right device depends on how cash moves through each location. Key considerations include:

Cash Volume

Lane Count

Store Footprint

Need for cash dispensing at tills

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Frequently Asked Questions (FAQs)

It depends on your cash volume, store layout, and whether you need dispensing functionality for tills.
A Smart Safe supports secure acceptance and validated counting. A Cash Recycler combines acceptance with dispense functionality to support till operations.
Access is managed at the device level based on store procedures and user roles.
Maintenance follows standard device service practices.
Events flow directly into portal dashboards to support reconciliation and daily oversight.
Direct credit functionality can be considered as part of the solution approach to help address cash-flow needs.