Value-Based Pricing

    Pricing

    Value-based pricing for contract-driven revenue.

    LicenseIQ is priced based on the financial complexity and revenue under management, not per user, document, or transaction.

    Our pricing reflects the value we deliver: accuracy, control, audit-ready execution, and reduced revenue leakage.

    Pricing Tiers

    Control

    Designed for finance teams replacing spreadsheets with deterministic, contract-driven execution.

    Typically includes:

    • Contract ingestion and clause-to-rule execution
    • Support for one core contract flow (e.g., distributor rebates, royalties, or chargebacks)
    • Transaction or POS data ingestion
    • Deterministic calculations and accrual outputs
    • ERP-ready journal entry outputs
    • Clause-to-journal traceability
    • Finance-owned review and approval controls

    Best for:

    Mid-market organizations establishing financial control over a high-impact contract flow.

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    Assurance

    Designed for finance teams that need consistency, audit confidence, and repeatability across multiple contract flows.

    Typically includes:

    • Everything in Control, plus:
    • Support for multiple contract flows
    • Advanced validation and eligibility rules
    • Period-over-period consistency controls
    • Variance detection and exception tracking
    • Audit-ready evidence packages
    • Dispute and adjustment traceability

    Best for:

    Finance organizations under audit scrutiny managing multiple channel or licensing programs.

    Governance

    Designed for finance leaders who require enterprise-grade oversight, scalability, and predictability.

    Typically includes:

    • Everything in Assurance, plus:
    • Multi-entity and multi-region support
    • Advanced audit and compliance reporting
    • Predictive leakage and variance insights
    • Role-based controls and governance workflows
    • Priority roadmap influence and strategic support

    Best for:

    Complex or PE-backed organizations where contract-driven revenue is material to financial reporting.

    Implementation & Onboarding

    Implementation is scoped separately to ensure accuracy, trust, and audit readiness.

    Implementation typically includes:

    • Contract normalization and rule validation
    • Data mapping and reconciliation
    • ERP output verification
    • Close-cycle validation prior to go-live

    Early Adopter Program participants may receive discounted or credited implementation as part of their partnership.

    How Pricing is Determined

    Pricing is influenced by:

    • Revenue under management
    • Contract and rule complexity
    • Number of contract flows
    • Data sources and ERP integrations

    Pricing is NOT based on:

    • Number of users
    • Volume of documents
    • Transaction counts
    • AI usage or compute

    How to Get Started

    Most customers start with one high-impact contract flow and expand over time.

    Final pricing is determined based on scope, complexity, and deployment requirements.

    Request Pricing

    Book a conversation with our team