Compare the Top Treasury Software in Canada as of January 2026

What is Treasury Software in Canada?

Treasury software is software that helps organizations manage their financial operations, including cash flow, liquidity, and risk. These tools enable businesses to optimize the management of cash, investments, and debt, while also tracking financial transactions, forecasting future cash requirements, and ensuring compliance with financial regulations. Treasury software often includes features such as cash management, bank reconciliation, financial reporting, risk assessment, and integration with other financial systems like accounting or enterprise resource planning (ERP). It is commonly used by corporate treasurers, finance teams, and CFOs to enhance decision-making, reduce financial risk, and improve overall financial efficiency. Compare and read user reviews of the best Treasury software in Canada currently available using the table below. This list is updated regularly.

  • 1
    ZenTreasury

    ZenTreasury

    ZenTreasury

    ZenTreasury is a cloud-based IFRS 16 lease accounting and treasury solution for companies managing anywhere from tens to thousands of contracts. It automates lease classification, modifications, journal entries, and disclosure reporting, helping finance teams eliminate spreadsheet risk and stay compliant. ZenTreasury supports complex finance environments with full multi-currency and multi-entity capabilities, cost center allocations, role-based access, and detailed audit trails. In addition to lease accounting, the platform includes tools to manage loans, FX contracts, guarantees, and interest rate derivatives. Built-in cash forecasting, liquidity planning, and automated treasury accounting provide complete control and visibility. With fast onboarding, an intuitive interface, and strong security, ZenTreasury is trusted by enterprises globally.
    Starting Price: €399 /month
    Partner badge
    View Software
    Visit Website
  • 2
    Kantox

    Kantox

    Kantox

    Currency Management Automation is the process of completely automating the entire foreign exchange (FX) workflow of a business. This workflow starts when new currency exposure arises, followed by risk analysis and monitoring, trade execution and post-trade performance analysis. We enable businesses to start leveraging technology to overcome complex FX challenges and achieve their goals. Our software allows you to easily manage your business’s entire foreign exchange process, from pricing your products all the way to collecting your payments. Calculate prices in foreign currencies, while selling products or services overseas. Dynamic Pricing automatically updates your prices based on currency market movements to help your business gain a competitive advantage and protect your margins. Customise how different types of FX exposure are managed according to your business’s characteristics and goals.
  • 3
    TreasuryPay

    TreasuryPay

    TreasuryPay

    Instant™ Enterprise Data and Intelligence. Visibility into all transaction data, as it is happening, wherever it is happening worldwide. With just one network connection, organizations receive worldwide Accounting, Liquidity Management, FX, Marketing, and Supply Chain information — delivered in a single managed solution to empower enterprise intelligence. The TreasuryPay product set streams your global receivables information, delivering instant accountancy and cognitive services. It is, quite simply, the most advanced intelligence and insights platform currently available to global organizations. Instantly provide your organization with enriched information for your entire global enterprise. The change is easy. The Return on Investment, remarkable. Actionable intelligence and real-time global accountancy are now available at your fingertips with TreasuryPay Instant™.
  • Previous
  • You're on page 1
  • Next