Tools & technology
Transfer Pricing Analytics
Transfer pricing analytics refers to software capabilities that transform raw intercompany transaction and financial data into visual dashboards, trend analysis and exception reports. Rather than relying solely on static spreadsheets, analytics tools allow tax and finance teams to monitor margins against target ranges, identify.
Analytics platforms typically present group-wide intercompany data through interactive dashboards showing margin trends by entity, transaction type or region, allowing tax teams to spot deviations from policy before they accumulate into significant year-end adjustments. Drill-down functionality lets users move from a summary.
Beyond monitoring, analytics tools support scenario modelling, such as simulating the margin impact of a change in intercompany pricing or currency movement, which helps finance teams anticipate true-up requirements ahead of year end. Combined with historical trend data, this supports more proactive transfer pricing management.
In practice
What matters when applying transfer pricing analytics
- Interactive dashboards for margin monitoring
- Drill-down from summary to transaction detail
- Outlier and exception identification
- Scenario and sensitivity modelling
- Supports proactive policy compliance monitoring
Frequently asked
Common questions
What is the difference between analytics and a static dashboard?+
Analytics tools go beyond display, offering drill-down, trend analysis and scenario modelling capabilities that let users interrogate underlying data, whereas a static dashboard typically only presents fixed summary figures.
How does transfer pricing analytics reduce year-end surprises?+
By monitoring margins against target ranges throughout the year rather than only at close, analytics tools help teams identify and address deviations early, reducing the size and frequency of year-end true-up adjustments.
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.
