Cash Forecasting & Analytics

WavePredict Forecasting Engine

Turn Cash Data Into Forward-Looking Insight

Cash demand changes every day. Deposit patterns shift, transaction volumes fluctuate, and cash requirements evolve across locations and networks.

WavePredict is The Wave Group’s forecasting engine, combining historical activity, financial data, and predictive analytics to help improve cash positioning, support liquidity planning, and reduce unnecessary idle cash.

Rather than reacting to yesterday’s activity, TWG uses WavePredict to anticipate changing demand and make more informed decisions about future cash needs.

What is WavePredict?

By analyzing historical activity, transaction trends, cash levels, pickup history, and seasonal patterns, WavePredict helps TWG anticipate demand, improve cash positioning, and support smarter financial decisions.

WavePredict Analyzes:

How WavePredict Improves Cash Planning

WavePredict analyzes financial and transaction activity to identify patterns that support better planning across your network.

WavePredict helps organizations:

  • Anticipate deposit volume and cash flow trends
  • Improve branch and ATM cash positioning
  • Optimize pickup and replenishment schedules
  • Reduce excess idle cash
  • Support more consistent planning across locations

Instead of relying only on historical reporting, TWG can use predictive insight to help plan ahead with greater confidence.

Powered by Connected Financial Data

WavePredict does more than identify patterns. It helps TWG translate predictive insight into recommendations that support better cash planning.

Forecasting can help organizations:

  • Optimize cash positioning
  • Reduce emergency replenishments
  • Improve pickup timing
  • Support liquidity planning
  • Identify changing demand patterns
  • Reduce unnecessary cash on hand

Predictive insights can then inform planning, service decisions, and reporting across the broader TWG ecosystem.

Forecasting That Drives Action

WavePredict doesn’t simply identify trends. It helps TWG make more informed operational recommendations that improve cash performance across the network.

Organizations can use forecasting to:

  • Optimize cash positioning
  • Reduce emergency replenishments
  • Improve pickup timing
  • Support liquidity planning
  • Identify changing demand patterns

Insights are accessible through dashboards and reporting tools that support both operational teams and financial leadership.

Find the right solution

Forecast With Greater Confidence

WavePredict helps TWG anticipate changing cash needs and turn historical activity into more useful financial insight.

The result is better planning, stronger cash positioning, and greater confidence in future cash requirements.