Publication:
Optimization of ATM cash replenishment with group-demand forecasts

dc.contributor.authorEkinci, Y.
dc.contributor.authorLu, J.-C.
dc.contributor.authorDuman, Ekrem
dc.contributor.departmentIndustrial Engineering
dc.contributor.ozuauthorDUMAN, Ekrem
dc.date.accessioned2015-12-17T14:31:52Z
dc.date.available2015-12-17T14:31:52Z
dc.date.issued2015-05-01
dc.descriptionDue to copyright restrictions, the access to the full text of this article is only available via subscription.en_US
dc.description.abstractIn ATM cash replenishment banks want to use less resources (e.g., cash kept in ATMs, trucks for loading cash) for meeting fluctuated customer demands. Traditionally, forecasting procedures such as exponentially weighted moving average are applied to daily cash withdraws for individual ATMs. Then, the forecasted results are provided to optimization models for deciding the amount of cash and the trucking logistics schedules for replenishing cash to all ATMs. For some situations where individual ATM withdraws have so much variations (e.g., data collected from Istanbul ATMs) the traditional approaches do not work well. This article proposes grouping ATMs into nearby-location clusters and also optimizing the aggregates of daily cash withdraws (e.g., replenish every week instead of every day) in the forecasting process. Example studies show that this integrated forecasting and optimization procedure performs better for an objective in minimizing costs of replenishing cash, cash-interest charge and potential customer dissatisfaction.en_US
dc.description.sponsorshipTÜBİTAK
dc.identifier.doi10.1016/j.eswa.2014.12.011
dc.identifier.endpage3490
dc.identifier.issn1873-6793
dc.identifier.issue7
dc.identifier.scopus2-s2.0-84920973939
dc.identifier.startpage3480
dc.identifier.urihttp://hdl.handle.net/10679/1327
dc.identifier.urihttps://doi.org/10.1016/j.eswa.2014.12.011
dc.identifier.volume42
dc.identifier.wos000350182600016
dc.language.isoengen_US
dc.peerreviewedyesen_US
dc.publicationstatuspublisheden_US
dc.publisherElsevieren_US
dc.relationinfo:eu-repo/grantAgreement/TUBITAK/1001 - Araştırmaen_US
dc.relation.ispartofExpert Systems with Applications
dc.relation.publicationcategoryInternational Refereed Journal
dc.rightsrestrictedAccess
dc.subject.keywordsAggregationen_US
dc.subject.keywordsInformation based optimizationen_US
dc.subject.keywordsModel quality improvementen_US
dc.subject.keywordsLogistics schedulingen_US
dc.titleOptimization of ATM cash replenishment with group-demand forecastsen_US
dc.typearticleen_US
dspace.entity.typePublication
relation.isOrgUnitOfPublication5dd73c02-fd2d-43e0-9a23-71bab9ae0b6b
relation.isOrgUnitOfPublication.latestForDiscovery5dd73c02-fd2d-43e0-9a23-71bab9ae0b6b

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