ZenTreasury
ZenTreasury provides CFOs, treasurers, and finance experts with tools to enhance financial operations through a comprehensive Treasury Management System (TMS). Our platform simplifies processes such as cash forecasting, lease accounting, and treasury workflows, offering real-time insights and automation that lessen complexity while ensuring compliance.
You can begin with our Freemium plan, ideal for cash forecasting and liquidity management, or choose one of our Premium plans that include advanced features tailored for expanding businesses. The lease accounting module of ZenTreasury facilitates adherence to IFRS 16, automating amortization schedules, tracking key dates, supporting multiple currencies, and managing cost center allocations, all backed by validation from a reputable international audit firm for reliable accuracy.
ZenTreasury also enhances treasury functions by providing effective management of financial contracts, risk mitigation strategies, and optimization of cash flow through robust reporting and analytical capabilities.
As a secure SaaS solution or as a Private Cloud deployment on Microsoft Azure, AWS, or Google Cloud, ZenTreasury offers both flexibility and enterprise-grade security to meet your requirements. By choosing ZenTreasury, you join an expanding community of finance professionals who are revolutionizing their operational practices and achieving greater efficiency.
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Martus
Martus Solutions provides an effective platform for budgeting, reporting, and forecasting specifically designed for nonprofits and small to mid-sized enterprises (SMBs). Say goodbye to the complexities of spreadsheets as Martus simplifies your financial management processes. Our user-friendly tools facilitate collaborative budgeting and detailed personnel planning, empowering your organization to confidently make data-driven decisions.
With Martus, teams are equipped to operate more efficiently, thanks to real-time data access, customizable reports, and automated workflows that enhance your budgeting and forecasting capabilities. This platform offers essential insights into your organization’s financial status, paving the way for strategic growth and alignment with your mission.
Featuring quick implementation, smooth ERP integration, and an easy-to-navigate interface, Martus not only boosts efficiency but also delivers significant value. Numerous organizations have already reaped the benefits of Martus, witnessing a transformation in their financial management practices—enhancing transparency, fostering accountability, and ensuring accuracy in their financial operations, all while remaining budget-friendly. By choosing Martus, you position your organization for long-term success in financial stewardship.
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Clockwork
The Clockwork Score offers an automated evaluation of your financial well-being, pinpointing opportunities for improvement. Through the application of machine learning, it scrutinizes your profit and loss statements, balance sheets, and cash flow to generate real-time predictions for cash flow on both weekly and monthly timelines. You have the flexibility to design custom metrics that merge financial and non-financial information, providing a thorough perspective of your business. With easy and secure integration with platforms like QuickBooks Online or Xero, you can quickly formulate financial models and forecasts. It’s crucial to understand that simply knowing your bank account balance does not provide a complete cash flow forecast. Being proactive allows you to stay ahead of your financial responsibilities and adapt to the changing demands of your growing enterprise. This proactive strategy can help prevent costly mistakes and enhances your financial management, reducing the likelihood of unforeseen circumstances. You will achieve a clearer understanding of your cash inflows and outflows, gaining insight into your financial position at various future intervals, which is essential for maintaining stability. By leveraging these insights, you empower yourself to make well-informed decisions that will underpin the sustainable growth of your business while fostering a culture of financial awareness and preparedness.
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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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