Tools & technology
Transfer Pricing Risk Dashboard
A transfer pricing risk dashboard is a visual monitoring tool that consolidates margin data, documentation status and country-level exposure across a group's entities into a single view. Rather than reviewing separate spreadsheets per jurisdiction, tax teams use the dashboard to identify entities with margins outside policy.
A risk dashboard typically aggregates data from transfer pricing calculations, documentation tracking systems and filing calendars, presenting it through colour-coded indicators showing which entities are within policy range, approaching a threshold, or already outside it. This visual prioritisation helps tax teams with limited.
Many dashboards also incorporate external risk factors, such as country-by-country reporting thresholds, local documentation deadlines, and jurisdictions with a history of transfer pricing audit activity, layering this onto internal margin data. This combined view supports more informed decisions about where to invest in.
In practice
What matters when applying transfer pricing risk dashboard
- Consolidated view across entities and jurisdictions
- Colour-coded margin and compliance indicators
- Documentation status and deadline tracking
- Incorporates external audit risk factors
- Prioritises review effort by exposure level
Frequently asked
Common questions
What data feeds into a transfer pricing risk dashboard?+
Dashboards typically combine internal data such as entity margins and documentation status with external factors like filing deadlines and country-specific audit risk indicators, giving a consolidated view of exposure across the group.
Who uses a transfer pricing risk dashboard?+
In-house tax and finance teams use it to prioritise compliance activity, while group management and audit committees use summary views to understand overall transfer pricing risk exposure across the organisation.
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.
