
Handle Complex Deals
Multi-phase contracts, mid-term price changes, metered overages, ramps and custom terms — all modelled and billed correctly, without spreadsheets.
Module CPQ lets sales teams structure complex deals without breaking downstream finance workflows. Configure pricing, generate professional quotes, and send contracts that flow directly into billing and revenue recognition.

Composable quotes, automated approvals, native CRM. Module replaces the spreadsheet-and-Slack quote-to-close loop with one continuous system from configuration to contract.

Multi-phase contracts, mid-term price changes, metered overages, ramps and custom terms — all modelled and billed correctly, without spreadsheets.

Two-way sync with CRM of your choice. Sales stays in the CRM. Finance stays in Module. The data stays in one place.

Every closed deal auto-generates invoices, revenue schedules and tax — ready for your ERP. No re-keying, no reconciliation sprints.
Discount thresholds, custom terms, non-standard pricing — routed, reviewed, and recorded where the deal already lives.
Module routes every non-standard price, discount, and term through policy-aware approvals. Approvers get the full deal context. Decisions are logged by default. Nothing reaches billing without sign-off.

Define tiered pricing with minimum commits that apply consistently across usage, billing, and revenue.
Quote contracts tied to real-time usage metrics API calls, events, compute, seats.
Apply structured discount rules with approval thresholds without breaking revenue logic.
Ramp pricing, staged commitments, and contract phases that auto-transition in billing.
Structure deals across entities, regions, and billing contexts without splitting logic or duplicating contracts.
Quote globally with consistent pricing logic, FX handling, and local tax support.
Move from proposal to execution without breaking the flow. Every step — pricing, approvals, signing, activation — runs on the same underlying contract logic.
Module CPQ integrates with your CRM, letting sales teams configure deals from existing opportunities. Customer data, pricing rules, and contract terms stay synced—eliminating duplicate workflows and reducing manual errors.
Every event captured, every dollar rated, every invoice reconciled — without a single handoff between engineering and finance.