finance-billing-ops

Extract and verify ECC revenue, pricing, refunds, and team billing from production systems.

86|21|Updated Feb 9, 2026
One-click install
npx skills add https://github.com/Jamkris/everything-gemini-code --skill finance-billing-ops-jamkris
Or copy as Structured Prompt for Agent
Please help me install this Agent Skill.
Skill: finance-billing-ops
Source: https://github.com/Jamkris/everything-gemini-code/tree/main/skills/finance-billing-ops
Command: npx skills add https://github.com/Jamkris/everything-gemini-code --skill finance-billing-ops-jamkris

SYSTEM DOCUMENTATION & REQUIREMENTS

What problem does it solve?

This skill helps operators and product teams understand and validate revenue state, pricing, refunds, and team-billing in ECC, bridging the gap between marketing claims and actual implementation.

Core Features & Use Cases

  • Revenue snapshots and dashboards to track live revenue, subscriptions, and anomalies.
  • Pricing decisions support with competitive benchmarking and governance for billing models.
  • Code-backed verification of checkout, entitlement, and seat-handling logic to ensure product truth matches website and sales copy.

Quick Start

Run a quick audit of ECC's billing state by summarizing current revenue, pricing, and team-billing behavior from the live data.

Frequently Asked Questions about finance-billing-ops

High-intent search queries and answers about installing and using this skill.

FAQPage Schema
How do I verify that my live billing state matches my production checkout code?

You can verify team billing behavior by extracting and validating per-seat or tiered billing logic against production systems. This code-backed inspection verifies that seat-handling and entitlement logic match the actual implementation.

What is the best way to audit revenue snapshots and detect anomalies in ECC?

Refunds can be verified by extracting and validating refund state and revenue logic against live production data. This code-backed approach ensures refund processing aligns with actual entitlement and checkout code paths.

How do I benchmark competitive pricing against my current billing model?

This Skill handles per-seat or tiered billing scenarios by extracting and verifying billing logic against production systems. It separates outputs into revenue facts, customer impact, and product truth for clear validation.

Can I use this to validate entitlement logic for my subscription billing?

Outputs are clearly separated into revenue facts, customer impact, and product truth. This structure ensures operators and product teams can distinguish between live revenue state, customer-facing effects, and code-backed implementation reality.