ZenTreasury
ZenTreasury is an all-in-one cloud-based platform designed for modern finance teams who need full control over IFRS 16 lease accounting and treasury operations. Whether you manage a few dozen or several thousand contracts, ZenTreasury replaces manual spreadsheets with automation, compliance, and real-time visibility.
Lease Accounting Capabilities:
Full IFRS 16 compliance
Automated classification, reassessment, and modifications
Accurate journal entries and disclosure reports
Multi-currency and multi-entity support
Cost center allocations and optional asset-level tracking
Role-based access control with detailed audit trails
Rapid onboarding with an intuitive user experience
Treasury Features:
Centralized register for loans, guarantees, FX trades, and derivatives
Cash flow forecasting and liquidity planning
Treasury accounting entries
Internal loan and interest rate management
Simplified approvals and process workflows
ZenTreasury supports seamless integration into your existing system landscape, helping you maintain accurate records and ensure financial transparency without the complexity of traditional ERP modules.
The platform is hosted on enterprise-grade cloud infrastructure with strict security controls, supporting companies in regulated industries and high-growth environments. It is scalable, fast to implement, and backed by expert support.
Trusted by enterprises worldwide, ZenTreasury is used across industries and regions by organizations looking to digitize financial operations, reduce compliance risk, and gain better insight into lease liabilities and financial instruments.
Whether your priority is automating IFRS 16 reporting or improving treasury control, ZenTreasury delivers a complete solution to modernize your finance function with confidence.
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Budgyt
Budgyt is budgeting and forecasting software created by a former CFO who was tired of Excel breaking at the worst possible moments. We serve finance teams at growing organizations managing multiple departments, locations, or grants. 350+ organizations and 4,000+ users have made the switch.
The core features solve what breaks in Excel. Import your chart of accounts and actuals directly from your accounting system via API. Click any variance to drill down to vendor-level detail with complete audit trails. Run rolling reforecasts monthly without rebuilding everything. Built-in payroll allocation, automated accruals, balance sheet and cash flow forecasting. Dynamic driver formulas that work like Excel but never break. Unbreakable formulas you manage without syntax. Unlimited team collaboration with approvals and activity tracking. Single source of truth for your entire organization.
Budgyt replaces Excel without the learning curve. No broken formulas. No version chaos. No board meeting panic. Works like Excel. Except it actually works. Up and running in hours via API, not months of consulting.
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BigHand Budgeting and Forecasting
BigHand Budgeting and Forecasting transforms the annual budgeting process for law firms, making what used to be a cumbersome task into a streamlined and effective operation. Its powerful integration capabilities facilitate the timely and accurate management of budget-to-actual performance metrics. This innovative solution equips firms to project both cash and accrual-based revenues while simplifying every aspect of budgeting and variance analysis. With flexible customization options, users can securely access intricate transaction data from the firm's general ledger and accounts payable systems. Transactions can be organized in various ways, allowing for sorting by multiple segments and columns according to user preference. Moreover, users can delve into specific transactions to scrutinize their individual components, such as checks, vouchers, or entries from the general ledger, which guarantees thorough oversight and control over financial information. Such detailed insights not only bolster the firms' financial management but also significantly enhance their strategic decision-making capabilities, ultimately leading to better financial outcomes.
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Float
Reliable cash flow forecasting is essential for every business, particularly since a staggering 82% of failing companies cite inadequate cash flow visibility as a key reason for their demise. Float offers a comprehensive view of your cash flow situation by analyzing historical, current, and projected cash movements. This clarity enables you to prepare for various scenarios, make well-informed choices, and pave the way for a more prosperous future for your enterprise. By utilizing Float, you can adopt a more strategic and forward-thinking approach to cash management, ensuring your business remains resilient and ready to seize opportunities.
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