
KonstructIQ represents a groundbreaking solution that leverages artificial intelligence to meet the diverse requirements of residential general contractors, remodeling firms, and home builders by optimizing both the construction process and financial oversight. This all-encompassing tool manages the project lifecycle seamlessly, offering quick and professional estimates, budgeting, invoicing, payment processing, change-order management, cost tracking, subcontractor coordination, and real-time reporting, all accessed through a single platform. Its estimating capabilities empower contractors to generate accurate bids rapidly, with customizable cost codes and options for markup or margin calculations, while also accommodating both cost-plus and fixed-price pricing strategies. Once an estimate is approved, it seamlessly transitions into the project budget, ensuring that all bills, invoices, or change orders are automatically updated to reflect on the budget, allowing contractors to maintain accurate job costing and monitor profitability effectively. Furthermore, the platform streamlines payment processes for subcontractors and suppliers, offering a variety of payment options such as ACH transfers, checks, debit and credit cards, virtual cards, or Zelle, and it also allows clients to settle invoices easily via an intuitive portal, significantly improving cash flow. This comprehensive approach not only alleviates administrative burdens but also fosters financial transparency for contractors, leading to enhanced efficiency in completing projects. In essence, KonstructIQ serves as a vital tool that empowers contractors to focus on what they do best while ensuring that the financial side of their projects is meticulously managed.
Learn more

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
Learn more
Synergen
Synergen stands out as an advanced solution tailored for the complexities of managing transfer pricing in cash pooling arrangements, allowing treasury and tax departments to automate the daily calculation of arm's length interest rates that comply with OECD standards while effectively allocating cash pool advantages among all participating entities.
The platform meticulously monitors structural balance positions, applies customizable thresholds, and generates alerts to draw attention to any concentration or position risks that may arise within the cash pool.
With the capability to customize interest settlement periods, Synergen simplifies the calculation process for accrued intercompany interest payments over designated time frames, significantly streamlining operational settlement activities.
Moreover, the system provides convenient one-click exports that produce detailed transfer pricing documentation, comprehensive reports, balance assessments, and visual presentations, all crafted to improve audit readiness and maintain adherence to tax laws.
Additionally, through its seamless integration with treasury management systems, Synergen delivers precise transfer pricing calculations vital for both physical and notional cash pools, accommodating a range of floating interest rates and supporting multiple currencies, ultimately enhancing overall financial efficiency.
This robust platform not only aids in compliance but also empowers organizations to make informed financial decisions based on real-time data analysis.
Learn more
Optravis
The Optravis Operational Transfer Pricing software enhances the entire transfer pricing process by calculating prices at both the product and partner levels across a variety of supply chains, utilizing a sophisticated rules engine that integrates transfer pricing strategies, customs duties, anti-dumping laws, and customized logic; its forecasting features automatically predict future margins for each product and trading partner, enabling a thorough analysis down to invoice and material details to minimize year-end adjustments; with a dedicated TP data model, it adeptly handles raw data from systems such as SAP R/3, SAP S/4HANA, and various non-SAP platforms without requiring manual preprocessing; in addition, the software takes care of service fees and licensing expenses, offers a detailed audit trail to maintain compliance with arm's-length principles, and presents analytical insights through customizable dashboards. As a SaaS solution that meets ISO 27001 certification, it supports swift deployment, rapid data processing, and seamless integration with current IT systems, ensuring accurate tax compliance while boosting operational efficiency. Moreover, the software's intuitive interface and extensive functionalities are designed to meet the varied requirements of businesses operating in intricate transfer pricing environments, thus facilitating smoother management of compliance tasks.
Learn more