Company Website
Company Website

Ratings and Reviews 9 Ratings

Total
ease
features
design
support

Ratings and Reviews 3 Ratings

What is ZenTreasury?

ZenTreasury is the financial contract accounting subledger for the Office of the CFO. Group controllers, CFOs, treasury managers, and auditors all work from the same contract data, because the ERP that posts the journal entry does not know the contract behind it. Add a lease once and ZenTreasury generates the right of use asset, the liability, and the full period by period schedule automatically, with depreciation, interest, and balance carry forward following the standard from day one. Index-linked remeasurement is handled automatically: index rates, base values, applied dates, and next indexation dates are tracked per contract and applied on schedule. Every modification, including scope changes, term extensions, rate revisions, and partial terminations, triggers a recalculation and is logged with a timestamp and user, so the before and after picture is always there without a follow up request. On the treasury side, ZenTreasury centralises FX position management (forwards, swaps, cross currency instruments with mark-to-market), internal and external loan and money market tracking with DCF valuation against yield curves and automated interest calculations, trade finance and guarantee monitoring with fee and exposure tracking, and group wide cash flow forecasting with scenario modelling. All multi entity, multi currency, with a complete per-field audit trail and direct bank connectivity. Every customer gets a dedicated, isolated database, so lease and treasury data is never shared with other tenants. This is a meaningful differentiator for enterprise audit and GDPR requirements. Multi entity, multi currency, SSO (Azure, Entra, Google, Microsoft 365), MFA, and role-based access are all included. It is one platform, not a bundle of modules: accounting is included, and pricing scales to the contracts, entities, and users you actually run. Lease calculations are independently reviewed by an international audit firm. Connect Claude, ChatGPT, or any MCP client

What is Portfolio Manager?

Blue Sky's "Portfolio Manager" Lease Management Software offers a user-friendly SaaS solution for the centralized oversight of lease agreements. This platform enhances the management of lease and maintenance contracts throughout their entire lifecycle, thereby bolstering the audit process, lowering expenses, boosting cash flow, and reducing risk through a unified view that enhances enterprise value. Furthermore, Portfolio Manager facilitates comprehensive status management for ongoing leasing RFPs, enabling users to track statuses, notes, documents, and subsequent actions for each active project. The software supports efficient data entry through flat file data imports and is highly customizable, featuring extensive reporting functions. Users can export any data field to Excel via the report writer, and pre-built templates are designed to integrate with most ASC842 lease accounting software. Additionally, the automated management of end-of-lease terms includes customizable parameters and alerts, ensuring that users never overlook a lease expiration. For those with specific needs, custom programming options are also available, making it a versatile choice for lease management. Overall, Portfolio Manager stands out as a comprehensive tool for organizations looking to optimize their lease management processes effectively.

Media

Media

Integrations Supported

Additional information not provided

Integrations Supported

Additional information not provided

API Availability

Has API

API Availability

Has API

Pricing Information

$16,900 per year
ZenTreasury is priced to the scope you run, with accounting included in the base license.
ZenTreasury (from $16,900/year): Up to 300 contracts, 20 reporting entities, 10 users, 20 bank accounts. Includes IFRS 16 lease accounting, FX, loans and money market, trade finance and guarantees, cash management, and cash flow forecasting. Implementation from $5,499, scoped separately.
Custom (for larger portfolios): Tailored pricing for higher contract volumes, more entities, dedicated implementation, custom integrations, and extended SLA.
All plans are cloud-hosted with two-factor authentication and Azure/Entra ID SSO.
Free Trial Offered?
Free Version

Pricing Information

$300.00/month
Starts at $300 per month for up to 10 concurrent users.
Free Trial Offered?
Free Version

Supported Platforms

SaaS
Android
iPhone
iPad
Windows
Mac
On-Prem
Chromebook
Linux

Supported Platforms

SaaS
Android
iPhone
iPad
Windows
Mac
On-Prem
Chromebook
Linux

Customer Service / Support

Standard Support
24 Hour Support
Web-Based Support

Customer Service / Support

Standard Support
24 Hour Support
Web-Based Support

Training Options

Documentation Hub
Webinars
Online Training
On-Site Training

Training Options

Documentation Hub
Webinars
Online Training
On-Site Training

Company Facts

Organization Name

ZenTreasury

Date Founded

2016

Company Location

Finland

Company Website

www.zentreasury.com

Company Facts

Organization Name

Blue Sky Capital Strategies

Date Founded

2007

Company Location

United States

Company Website

blue-sky.capital/portfolio-manager/

Categories and Features

Currency Exchange

Analytical Reporting
Client Management
Custom Account Statements
Data Backup Scheduling
For Money Exchanges
Margin Management
Market Data Access
Position Management
Real Time Currency Quotes
Real Time Tracking
Transaction Management

Investment Management

Accounting Management
Benchmarking
Bonds / Stocks
Client Management
Commodities
Compliance Reporting
Data Import / Export
For Investment Advisors
For Investors & Traders
Fund Management
Modeling & Simulation
Payroll & Commissions
Performance Metrics
Portfolio Management
Risk Management

Lease Accounting

ZenTreasury serves as the dedicated lease accounting subledger for CFOs, streamlining the process by allowing users to input a lease just once to generate a comprehensive schedule that includes the right of use asset, lease liability, depreciation, interest, and balance carry forward—all automatically created in compliance with established standards from the outset. The system automatically manages index-linked remeasurement, ensuring that any changes—such as alterations in scope, extensions of terms, adjustments in rates, and partial terminations—trigger an updated schedule that is meticulously recorded with a timestamp and user identification. This feature provides auditors with a clear before-and-after overview without the need for additional inquiries. Designed to accommodate multi-entity and multi-currency portfolios, every client benefits from a unique and secure database. The platform incorporates Single Sign-On (SSO), Multi-Factor Authentication (MFA), and role-based access controls. Additionally, lease calculations undergo independent verification by a global audit firm, and users can easily export journal entries to any ERP system.

Amortization Schedule
Asset Management
Billing & Invoicing
Budgeting & Forecasting
Capitalization Reporting
Critical Date Alerts
Expense Tracking
For Equipment Leases
For Real Estate
Payment Tracking
Portfolio Management
Tax Management

Treasury

ZenTreasury serves as a specialized financial contract accounting subledger tailored for treasury management, specifically designed for the Office of the CFO. It transforms foreign exchange (FX) transactions, loans, and guarantees into ready-to-audit journals, valuations, and disclosures, seamlessly integrating with the general ledger (GL) or enterprise resource planning (ERP) systems. With real-time rates and mark-to-market capabilities, it efficiently manages FX forwards, swaps, and spot transactions. It also handles loans and money market instruments with discounted cash flow (DCF) valuation based on yield curves and automates interest accrual. For guarantees and trade finance, it provides fee accrual and monitors exposure effectively. Additionally, it offers comprehensive cash flow forecasting for groups operating across multiple subsidiaries and currencies. Each client is allocated a unique, secure database environment. The platform supports multiple entities and currencies and includes features like single sign-on (SSO), multi-factor authentication (MFA), role-based access, and direct bank integration. It maintains a detailed audit trail for every transaction and valuation. Users can connect to Claude, ChatGPT, or any other managed client through a read-only managed client protocol (MCP) server, and they can export journals to any ERP system.

Cash Management
Debt Management
For Government
For Hedge Funds
Forecasting
Liquidity Management
Payment Management
Risk Management

Categories and Features

Lease Accounting

Amortization Schedule
Asset Management
Billing & Invoicing
Budgeting & Forecasting
Capitalization Reporting
Critical Date Alerts
Expense Tracking
For Equipment Leases
For Real Estate
Payment Tracking
Portfolio Management
Tax Management

Lease Management

Billing & Invoicing
Commercial Leases
Contact Management
Landlord Database
Lease Classification
Portfolio Management
Property Management
Residential Leases
Retail Leases
Sublease Management
Tenant Database

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