Reconciliation Reporting & Remittance

Row of Cash 01

Red Lion Security’s Cash Management System is extremely efficient ensuring that funds are reconciled and remitted in line with agreed deadlines.

Reconciliation, Reporting and Remittance is carried out in accordance with Red Lion Security’s internal policies and procedures that exceed industry standards. We guarantee reliability and dependability.

Red Lion Security provides complete transparency backed up by clear and accurate reporting. Providing our clients confidence with our Cash Management System.

All cash is monitored under CCTV during each stage of the handling cycle and a system of seals and locked safes maintain security and integrity.

Speed and accuracy is backed up by our investment in staff training and technologies such as the latest counting, detection of counterfeit currency and reconciliation equipment.

Red Lion Security are able to process orders for change for next day delivery and can provide reconciliation and reporting which complies with customer reporting requirements.

Cash Management can be conducted via EFT or with cash for cash.

During the reporting cycle, Red Lion Security tellers are experienced in identifying trends and anomalies which we bring to the attention of our clients providing an additional level of checks and balances.