Tools & technology

API Integration for Transfer Pricing

API integration for transfer pricing describes the use of application programming interfaces to connect ERP, treasury and consolidation systems directly to transfer pricing software, replacing manual file exports and imports. Real-time or scheduled data feeds automatically populate pricing models, invoicing engines and.

Rather than relying on periodic spreadsheet extracts, API integration allows a transfer pricing platform to pull trial balance, cost centre and intercompany transaction data directly from an ERP system on a defined schedule. This reduces version control issues, keeps pricing models aligned with the latest actual figures, and.

API connections also enable transfer pricing outputs, such as calculated intercompany charges or true-up adjustments, to be written back into the ERP or invoicing system automatically, closing the loop between calculation and execution. This reduces duplicate data entry, limits transcription errors, and creates a consistent.

In practice

What matters when applying api integration for transfer pricing

  • Direct connection to ERP and treasury systems
  • Scheduled or real-time data synchronisation
  • Reduces manual file exports and imports
  • Write-back of calculated charges to source systems
  • Consistent audit trail across finance platforms

Frequently asked

Common questions

What systems can be connected via API for transfer pricing?+

Common integrations include ERP platforms, treasury management systems, consolidation tools and invoicing engines, allowing intercompany financial data to flow automatically into transfer pricing calculation and documentation software.

Does API integration replace manual data checks?+

No, it reduces manual extraction effort but validation rules are still applied to incoming data to catch errors, so API integration typically works alongside data validation controls rather than replacing them.

See how the tooling handles this in practice

Our transfer pricing tools calculate intercompany charges, benchmark financing and reconcile the intercompany ledger from your own data. Book a short walkthrough and we will show the workflow on a scenario that matches your group structure, rather than a generic demo dataset.