Longview Transfer Pricing
Longview Transfer Pricing automates and streamlines operational transfer pricing by integrating data from multiple sources into a centralized environment where data collection, allocations, segmented reporting, and profitability analysis are handled via intuitive, configurable modules. Its rules-driven engine calculates transfer price targets and adjustments at product, entity, and counterparty levels, supports intraperiod testing and goal-seek scenarios, and leverages historical data to monitor margins and ensure global compliance. Users can map intercompany transactions, define multi-dimensional segments (such as product, region, and cost center), and apply real-time currency conversions with embedded FX rate management. With dynamic dashboards, interactive visualizations, and drill-down analytics, finance and tax teams gain clear insights into pricing strategies while maintaining full audit trails and BEPS-compliant documentation.
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Synergen
Synergen is a transfer pricing solution for cash pools. It helps treasury and tax teams automate the daily calculation of OECD-compliant, arm's length interest rates, and allocates cash pool synergies across participating entities.
The platform monitors structural balance positions, applies customisable thresholds, and generates alerts to identify concentration and position risks within the pool.
Configurable interest settlement periods automatically compute accrued intercompany interest payments for defined periods, simplifying operational settlement.
One-click exports generate transfer pricing documentation, detailed reports, balance analyses, and visualisations to support audit readiness and tax compliance.
Synergen complements treasury management systems by providing specialised transfer pricing calculations for intercompany cash pooling. The platform supports physical and notional cash pools, floating interest rates, and multiple currencies.
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TPdoc
TPdoc provides a central platform for transfer pricing documentation, generating automated, customized OECD-compliant master and local files in Microsoft Word with vertical (future and past) and horizontal (country and entity) roll-forwards, dynamic templates that expand per transaction, and one-time setup of intercompany transactions per fiscal year. Its intuitive workflow management visualizes sequential tasks, file status, planner-reviewer roles, deadline monitoring, and notifications, enabling segmented P&L analysis complete with audit trails. User roles linked to document status and least-privilege access controls ensure secure, multi-stakeholder collaboration, while in-tool training capabilities support junior professionals. A rich content library of reusable text cards, annex templates, and step-by-step guidance ensures consistency and full compliance with the OECD Transfer Pricing Guidelines.
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TP Accurate
TP Accurate is a web-based SaaS platform designed to streamline and enhance financial transfer pricing for loans, guarantees, and cash pools. It delivers a unified environment where users can achieve full compliance with OECD guidance and best-practice financial theory, optimize net positions, and eliminate the human error inherent in manual approaches. By automating price calculations and documentation, TP Accurate ensures defensible, arm’s-length results across all intercompany financial transactions. It reduces reliance on external advisors, freeing up internal resources by consolidating modelling, analysis, and reporting in one interface. Built for finance and tax departments, it offers configurable workflows, real-time monitoring of pricing positions, and comprehensive audit trails, all accessible via a modern web interface. With TP Accurate, organizations gain improved quality, faster turnaround, and stronger governance over financial transfer pricing processes.
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