Striven is the complete business management solution that cuts your costs, optimizes your processes, and makes daily tasks simpler. Transform your company's data into something unified, interconnected, and meaningful.
Drawing on over two decades of Software Services expertise, we've worked alongside more than 8,600 organizations spanning dozens of sectors to make their operations more secure, productive, and valuable for their customers.
Empowering people to accomplish more has always driven us. Now, it's central to our software design. We feature simple, transparent pricing plans and an exceptional guarantee. You can even start using it immediately at zero cost.
Our plans come with no trial periods, expiration dates, or contractual commitments.
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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
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treyFACT SQL
treyFACT SQL provides a comprehensive solution for managing the entire buying and selling process, addressing key elements including budgets, orders, delivery notes, invoices, payment terms, collections, commissions, periodic billing, contracts, remittances, and special pricing. It is designed to efficiently oversee multiple warehouses while incorporating features that manage product attributes such as sizes and colors, along with lots and series, customer deposits, and both composite and manufactured inventories. Beyond inventory management, the system includes customer relationship management (CRM) capabilities, enabling users to oversee calls, tasks, alarms, and maintain an appointment schedule, as well as manage incidents and suggestions, plus handle mailing operations. The software's versatile configuration allows users to create new fields in essential modules, customize document formats and list layouts, save searches, and sort grids, in addition to developing and storing personalized filters for data retrieval. Users can conveniently import data for customers, suppliers, and products directly from Excel, and the software seamlessly integrates with a variety of accounting platforms such as Contaplus, A3, Contasol, and Contanet. Moreover, businesses have the flexibility to install the software on their local machines or opt for the Treyder Cloud Server, enhancing accessibility and ease of use. This adaptability ensures that organizations can customize the software to meet their unique operational requirements and workflows, ultimately fostering greater efficiency in their processes. Additionally, this level of customization empowers businesses to stay agile and responsive in a dynamic market environment.
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Functional Finance
Functional Finance acts as the pivotal mechanism for managing insurance billing and payments, efficiently handling the monetary transactions post-policy decisions. Situated between the policy management system and the general ledger, it expertly processes policy-related events such as bindings, endorsements, cancellations, and reinstatements while executing financial obligations with accuracy. This system skillfully manages billing, invoicing, payment collection, cash application, treasury routing, and payables for distribution partners, accommodating diverse models including agency billing, direct billing, installments, and premium financing. Payments are meticulously applied at both the policy level and individual line items, ensuring that commissions and remittances are consistently aligned while providing a clear audit trail for each transaction. As a result, this creates a financial operations framework that is inherently aware of policy specifics, replacing cumbersome manual reconciliation processes with streamlined, scalable practices that significantly boost operational efficiency. The seamless integration of these functionalities not only enhances reliability but also promotes a transparent financial landscape within the insurance industry, ultimately contributing to improved stakeholder trust.
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