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Average Ratings 9 Ratings

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support

Description

EXA Operational Transfer Pricing (EXA OTP) is a specialized SAP software designed to assist professionals in controlling, accounting, and tax by streamlining and enhancing the management of intercompany transfer pricing. It provides a unified source of accurate information through an SAP Fiori interface, which can be implemented either on-premise or in the public cloud, and integrates smoothly with SAP ERP systems through ETL plug-ins or flat-file uploads. Users have the ability to set up entities, charts of accounts, product hierarchies, transaction groups, TP methods, functions, and profit level indicators, all supported by an integrated OPEX allocation engine. With real-time monitoring capabilities, it offers segmented profit and loss results based on transaction groups, TP functions, partners, or intellectual property owners, while forecasting utilizes both historical and newly created material or SKU-level data. The process of setting transfer prices is made more efficient with customizable multi-level approval workflows applicable to both individual and bulk SKUs, and year-end adjustments facilitate automatic recalculations of group effective tax rates to ensure compliance with customs valuation standards. Additionally, the software enhances organizational efficiency by providing comprehensive insights and facilitating better decision-making processes related to transfer pricing strategies.

Description

Most finance teams run two systems: one for lease accounting, one for treasury, reconciled by hand. ZenTreasury runs both as one governed subledger, because the ERP that posts the journal entry does not know the contract behind it. ZenTreasury does. Add a lease and the platform generates the full schedule automatically: right of use asset, lease liability, depreciation, interest, and balance carry forward, all following the standard from the moment the lease is saved. Index-linked remeasurement is handled automatically, with index rates, base values, and next indexation dates tracked per contract. Every later change, such as a scope change, term extension, rate revision, or partial termination, recalculates the schedule and logs it with a timestamp and user, so auditors get the before and after picture without asking. On the treasury side: centralised FX position management across forwards, swaps, and cross currency instruments with mark-to-market valuations; internal and external loan tracking with DCF valuation against yield curves and automated interest accrual; trade finance and guarantee monitoring with fee and exposure tracking; and group wide cash flow forecasting with scenario modelling, all multi entity and multi currency. Direct bank connectivity included. Every customer gets a dedicated, isolated database, so your data is never shared with other tenants. This matters for audit integrity and GDPR. Multi entity, multi currency, SSO, MFA, and role-based access are all included in the base platform. It is one product with accounting included, priced to the scope you run. Lease calculations are independently reviewed by an international audit firm. Connect Claude, ChatGPT, or any MCP client directly to your contract data via a read-only MCP server.

API Access

Has API

API Access

Has API

Screenshots View All

Screenshots View All

Integrations

SAP Fiori

Integrations

SAP Fiori

Pricing Details

No price information available.
Free Trial
Free Version

Pricing Details

$16,900 per year
Free Trial
Free Version

Deployment

Web-Based
On-Premises
iPhone App
iPad App
Android App
Windows
Mac
Linux
Chromebook

Deployment

Web-Based
On-Premises
iPhone App
iPad App
Android App
Windows
Mac
Linux
Chromebook

Customer Support

Business Hours
Live Rep (24/7)
Online Support

Customer Support

Business Hours
Live Rep (24/7)
Online Support

Types of Training

Training Docs
Webinars
Live Training (Online)
In Person

Types of Training

Training Docs
Webinars
Live Training (Online)
In Person

Vendor Details

Company Name

EXA

Founded

2012

Country

Germany

Website

exa-ag.com/roles-products/exa-operational-transfer-pricing-otp/

Vendor Details

Company Name

ZenTreasury

Founded

2016

Country

Finland, UAE

Website

www.zentreasury.com

Product Features

Product 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 specialized lease accounting subledger tailored for the Office of the CFO. Input a lease just once, and it automatically generates a comprehensive schedule that includes the right of use asset, lease liability, depreciation, interest, and balance carry forward, all in compliance with standards from the outset. The system effortlessly manages index-linked remeasurement. Any adjustments—such as changes in scope, term extensions, rate modifications, or partial terminations—trigger a recalculation of the schedule along with a detailed log that captures the change along with the user and timestamp. This allows auditors to see both the original and updated versions without needing to request additional information. Designed to accommodate multi-entity and multi-currency portfolios, each customer is provided with their own distinct and secure database. The platform also incorporates Single Sign-On (SSO), Multi-Factor Authentication (MFA), and role-based access controls. Lease calculations undergo independent review by a globally recognized auditing firm, and journal exports are compatible with 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 the specialized accounting subledger for treasury operations, designed specifically for the Chief Financial Officer's office. It transforms foreign exchange transactions, loans, and guarantees into compliant journals, valuations, and disclosures, which are subsequently passed to the General Ledger/Enterprise Resource Planning system. The platform supports FX forwards, swaps, and spot transactions with real-time rates and mark-to-market capabilities. It also manages loans and money market transactions through discounted cash flow valuation aligned with yield curves and automates interest accrual processes. Additionally, it handles guarantees and trade finance by tracking fee accruals and monitoring exposure. Group-wide cash flow forecasting is available across various subsidiaries and currencies. Each client is provided with a unique, secure database environment. Features include multi-entity and multi-currency support, single sign-on (SSO), multi-factor authentication (MFA), role-based access controls, and direct connectivity to banking systems. An audit trail is maintained for every field across all transactions and valuations. Users can integrate with AI models like Claude or ChatGPT through a read-only MCP server, and journals can be exported to any ERP system seamlessly.

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

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