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    • 1. 发明公开
    • 금융 자동화 기기로의 현송 자금을 예측하는 현금 관리서버 및 방법
    • 现金管理服务器和代码,用于估计现金运输到自动转盘机
    • KR1020070108695A
    • 2007-11-13
    • KR1020060041061
    • 2006-05-08
    • 노틸러스효성 주식회사
    • 허영대
    • G06Q40/02G07F19/00
    • G06Q40/025G07F19/00
    • A cash management server and a method for estimating cash to be transported to an ATM are provided to manage the cash of the ATM correctly by estimating the cash to be transported to each ATM based on past cash use records of the ATMs. An information collector(210) collects the cash use records from each ATM(110). A needed cash calculator(220) calculates the cash needed for each ATM from the cash use records. A transported cash calculator(230) obtains a collection ratio by calculating average withdrawal times and an average amount per each withdrawal of each ATM from the cash use records, and estimates the cash to be transported to each ATM by reflecting the collection ratio to the needed cash. The need cash calculator calculates the needed cash by calculating an average cash amount and a predetermined normalization value of a predetermined period from the cash use records, using the calculated average cash amount and normalization value, and reflecting weight for a day of the week, the day, and a predetermined day.
    • 提供现金管理服务器和用于估计要运送到ATM的现金的方法,以根据ATM的过去的现金使用记录估计要运送到每个ATM的现金来正确地管理ATM的现金。 信息收集器(210)从每个ATM(110)收集现金使用记录。 所需的现金计算器(220)从现金使用记录中计算每个ATM所需的现金。 运输的现金计算器(230)通过计算平均提款时间和每个ATM从每个现金使用记录中取出的平均数量来获取收款率,并且通过将所收取的比例反映到所需的ATM中来估计要运送到每个ATM的现金 现金。 需要现金计算器使用所计算的平均现金金额和归一化值,计算当前现金金额和预定期间的预定正常化值,并且反映一周中的某一天的所需现金, 天和预定的一天。
    • 3. 发明公开
    • 금융 자동화 기기의 잔고 부족 시간을 예측하는 현금 관리서버 및 방법
    • 现金管理服务器和价格估算自动售货机的现金不足时间
    • KR1020070108697A
    • 2007-11-13
    • KR1020060041063
    • 2006-05-08
    • 노틸러스효성 주식회사
    • 허영대
    • G07F19/00G07D11/00B65H3/04G06Q10/06
    • G06Q40/02G07D11/0045G07D11/0054G07D2211/00G07F19/209G07F19/211
    • A cash management sever and a method for estimating a balance deficiency time of an ATM(Automated Teller Machine) are provided to manage an ATM efficiently by properly monitoring the balance of the ATM and controlling the cash, which is supposed to be sent to the ATM, based on past fund result information when the balance of the ATM is deficient. A cash management sever for estimating a balance deficiency time of an ATM(110) includes an information collecting unit(210) collecting funds result information from the ATM. An actual results calculating unit(220) calculates an average fund result at a predetermined time interval and abstracts the present balance from the fund result information. A time predicting unit(230) predicts a balance deficiency time by comparing each average fund result with the present balance.
    • 提供现金管理服务器和用于估计ATM(自动柜员机)的余额不足时间的方法,以通过适当地监视ATM的余额并控制应该发送到ATM的现金来有效地管理ATM 根据过去的资金结果信息,当ATM的余额不足时。 用于估计ATM(110)的余额不足时间的现金管理服务器包括从ATM收集资金结果信息的信息收集单元(210)。 实际结果计算单元(220)以预定时间间隔计算平均基金结果,并从基金结果信息中抽取当前余额。 时间预测单元(230)通过将每个平均基金结果与当前余额进行比较来预测余额不足时间。
    • 5. 发明公开
    • 자동화기기를 이용한 매출금 수납 시스템 및 방법
    • 使用自动切纸机取出销售量的系统和方法
    • KR1020110090304A
    • 2011-08-10
    • KR1020100010002
    • 2010-02-03
    • 노틸러스효성 주식회사
    • 허영대이승준
    • G07F19/00G06Q20/34G06Q40/02G06Q20/20G06Q30/02
    • G07G1/14G07F19/206G07G1/0009
    • PURPOSE: A sale money storage system using automation device and a method thereof are provided to solve the troublesome in which a client enters account information about a distribution company or checks imaginary account information by receiving sale money using a unique number of the client. CONSTITUTION: An automation device(110) writes out breakdown information related to the accepted sale money. A breakdown information receiver receives the breakdown information from the automation device. A distribution company classifier reads a unique number of a client in the breakdown information and classifies the breakdown information according to the distribution company using the unique number of the client. A sale amount calculator calculates sale money of a shop or the sale amount of the distribution company in which sale money of the shop is added using the classified breakdown information. A distribution company server(130) receives the sale amount of the distribution company or the sale money of the shop from an automation device operation host(120).
    • 目的:提供一种使用自动化装置的销售货币存储系统及其方法,以解决客户端输入关于分销公司的信息的麻烦,或通过使用唯一的客户端号码接收销售货币来检查虚拟帐户信息。 规定:自动化设备(110)写出与所接受的销售金额相关的故障信息。 故障信息接收器从自动化设备接收故障信息。 分销公司分类器在故障信息中读取客户端的唯一编号,并根据分销公司使用客户端的唯一编号对故障信息进行分类。 销售金额计算器使用分类的细目信息计算商店的销售金额或销售商品的销售金额,销售商店使用分类的细目信息添加商店的销售金额。 分发公司服务器(130)从自动化设备操作主机(120)接收分销公司的销售金额或商店的销售金额。
    • 6. 发明公开
    • 금융 자동화 기기의 운영 자금을 관리하는 현금 관리 서버및 방법
    • 现金管理服务器和元件用于管理自动转盘机的运行资金
    • KR1020070108696A
    • 2007-11-13
    • KR1020060041062
    • 2006-05-08
    • 노틸러스효성 주식회사
    • 허영대
    • G06Q40/02
    • G06Q40/025
    • A cash management server and a method for managing operation cash of an ATM are provided to correctly manage the cash of the ATM by calculating the operation cash used in each ATM based on past cash use records. An information collector(210) collects the cash use records from each ATM(110). A needed cash calculator(220) calculates an average cash amount and a predetermined normalization value of a predetermined period from the cash use records, and calculates the needed cash by multiplying the average amount and the normalization value. A transported cash calculator(230) estimates the cash to be transported to the ATM from the calculated needed cash. The needed cash calculator calculates the cash needed for each day of the week, day, and predetermined day by reflecting a slop of the cash for a predetermined period over one week.
    • 提供现金管理服务器和用于管理ATM的运营现金的方法,以通过基于过去的现金使用记录计算每个ATM中使用的运营现金来正确地管理ATM的现金。 信息收集器(210)从每个ATM(110)收集现金使用记录。 所需的现金计算器(220)从现金使用记录计算平均现金金额和预定期间的预定标准化值,并通过乘以平均金额和归一化值来计算所需现金。 运输的现金计算器(230)从计算的所需现金估计要运送到ATM的现金。 所需的现金计算器通过在一周内反映预定期间的现金斜率来计算一周,一天和预定日期中的每一天所需的现金。
    • 7. 发明公开
    • 무인금융정보단말기를 이용한 광고시스템 및 그 방법
    • 使用无限制银行信息终端的系统和方法
    • KR1020040068804A
    • 2004-08-02
    • KR1020030005351
    • 2003-01-27
    • 노틸러스효성 주식회사
    • 박남준김수일안기삼김기진허영대
    • G06Q30/02G07F19/00
    • PURPOSE: A system and a method for an AD(ADvertisement) using an unmanned banking information terminal are provided to maximize AD effect by concentratedly displaying the AD to a user concentrated on a screen through the screen for a transaction selecting process and a card data input process. CONSTITUTION: The unmanned banking information terminal(10) is connected to a banking information server(20) of a banking institution through a VAN(Value Added Network). The banking information server is connected to a customer management system(21) proving an AD code fit to a customer by analyzing the card data inputted from the customer. An AD server(30) analyzes/stores the AD code included in a message when the response data for the transaction information is transmitted to the unmanned banking information terminal from the banking information server, exposes the customer to the AD by transmitting the AD information matched with the AD code to the unmanned banking information terminal, and receives/stores the AD exposure information stored in the unmanned banking information terminal.
    • 目的:提供一种使用无人值守银行信息终端的AD(广告)系统和方法,以通过集中在屏幕上的用户集中显示AD以进行交易选择处理和卡数据输入来最大化AD效应 处理。 规定:无人值守银行信息终端(10)通过VAN(增值网络)与银行业务机构的银行信息服务器(20)连接。 银行信息服务器通过分析从客户输入的卡片数据连接到客户管理系统(21),证明适合于顾客的AD代码。 当从银行信息服务器将交易信息的响应数据发送到无人值守银行信息终端时,AD服务器(30)分析/存储包含在消息中的AD代码,通过发送与AD匹配的AD信息将客户暴露给AD 将AD代码传送到无人值守银行信息终端,并且接收/存储存储在无人值守银行信息终端中的AD曝光信息。
    • 9. 发明公开
    • 장애 기간의 실적 보정을 통하여 현송 자금을 예측하는현금 관리 서버 및 방법
    • 现金管理服务器和基于在实际期间修正实际结果的运输现金估算方法
    • KR1020080000723A
    • 2008-01-03
    • KR1020060058427
    • 2006-06-28
    • 노틸러스효성 주식회사
    • 허영대
    • G06Q40/02
    • G07F19/20
    • A cash management server for estimating transport cash based on a result correction during an impediment period and a method thereof are provided to calculate the transport cash of an ATM(Automated Teller Machine) accurately by reflecting the result of an impediment day. An information collector(210) collects past cash result information from the ATM. An impediment information checker(220) calculates the daily result of week-of-day generating impediment and calculates an average result of an impediment time for the week-of-day corresponding to impediment information from the past cash result information. A transport cash calculator(230) calculates a corrected result reflecting the average impediment period result to the daily result and estimates the transport cash based on the corrected result. The impediment information checker calculates an average result for at least four weeks of the impediment time corresponding to the impediment information. The impediment information is date and time causing device failure or cash shortage. The corrected result is a sum of the daily result and the average impediment time result.
    • 提供一种用于基于障碍期间的结果校正来估计运输现金的现金管理服务器及其方法,以通过反映障碍日的结果来准确地计算ATM(自动柜员机)的运输现金。 信息收集器(210)从ATM收集过去的现金结果信息。 障碍信息检查器(220)计算每周生成障碍物的每日结果,并且计算与过去的现金结果信息相对应的障碍信息所对应的每天的障碍时间的平均结果。 运输现金计算器(230)计算反映平均障碍周期结果对日常结果的校正结果,并基于校正结果估计运输现金。 障碍信息检查器计算与障碍信息相对应的障碍时间的至少四周的平均结果。 障碍信息是造成设备故障或现金短缺的日期和时间。 校正后的结果是日常结果与平均障碍时间结果的总和。
    • 10. 发明公开
    • 금융 카드의 분실 처리를 제공하는 금융 자동화기기 및방법
    • 自动售货机及供应金融卡损失程序的方法
    • KR1020070116386A
    • 2007-12-10
    • KR1020060050366
    • 2006-06-05
    • 노틸러스효성 주식회사
    • 허영대김수일
    • G07F19/00G07F7/08H04L9/32G06Q40/02
    • G07F19/207G06Q40/02G07D11/0063G07D11/0078G07D2211/00
    • An ATM(Automated Teller Machine) and a method for providing loss processing of a financial card are provided to process the loss of the card by receiving user information and financial card information through a user interface unit of the ATM and then transmitting the input information to a server through a loss processing unit. An ATM(200) for providing loss processing of a financial card is composed of a user interface unit(210) for receiving user information and financial card information and a loss processing unit(220) for transmitting the user information and financial card information to a management server to process the loss of the card corresponding to the financial card information. A financial server processes the loss of the card according to the user information and financial card information reported to the correspondent financial server which the card belongs to by the management server.
    • 提供一种ATM(自动取款机)和一种用于提供金融卡的损失处理的方法,用于通过ATM的用户界面单元接收用户信息和金融卡信息来处理卡的丢失,然后将输入信息发送到 一个服务器通过一个丢失处理单元。 用于提供金融卡的丢失处理的ATM(200)由用于接收用户信息和金融卡信息的用户接口单元(210)和用于将用户信息和金融卡信息发送到 管理服务器处理丢失的卡对应的金融卡信息。 金融服务器根据向管理服务器所属的通信金融服务器报告的用户信息和金融卡信息,处理卡的丢失。