finance-billing-ops

Inspect live billing data and code to verify ECC revenue and pricing practices.

1|Updated Apr 21, 2026
One-click install
npx skills add https://github.com/ROYCE-8425/ai-marketing-hub --skill finance-billing-ops-royce-8425
Or copy as Structured Prompt for Agent
Please help me install this Agent Skill.
Skill: finance-billing-ops
Source: https://github.com/ROYCE-8425/ai-marketing-hub/tree/main/skills/finance-billing-ops
Command: npx skills add https://github.com/ROYCE-8425/ai-marketing-hub --skill finance-billing-ops-royce-8425

SYSTEM DOCUMENTATION & REQUIREMENTS

💡 This Skill includes scripts (resource) and references (resource) components.

What problem does it solve?

This Skill addresses the complexities of ECC's revenue, pricing, refunds, and team-billing processes, providing operators with precise, code-backed insights into the product's billing behavior.

Core Features & Use Cases

  • Sales & Revenue Tracking: Offers real-time snapshots of sales data, subscriptions, checkouts, refunds, and disputes.
  • Pricing Analysis: Assesses team billing logic, seat counting, and pricing model accuracy against claims and actual behavior.
  • Product Truth Verification: Validates code-based billing behavior, such as checkout flows, entitlement calculations, and seat handling logic.
  • Use Case: When faced with a question about team billing or per-seat billing, use this Skill to determine if the product operates as stated or if there's a discrepancy.

Quick Start

Use the finance-billing-ops skill to verify the accuracy of team billing for the current quarter and identify any discrepancies.

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 team billing and per-seat pricing logic against actual product behavior?

Verify team billing and per-seat pricing by inspecting live billing data and code to determine if the product operates as stated or if discrepancies exist in seat counting and pricing model accuracy.

What is code-based billing verification for revenue operations?

Code-based billing validation assesses checkout flows, entitlement calculations, and seat handling logic against claims and actual behavior, providing operators with precise, code-backed insights into product billing behavior.

How do I track real-time sales data, subscriptions, and refund workflows?

Track real-time sales data by analyzing live snapshots of subscriptions, checkouts, refunds, and disputes to ensure accurate revenue tracking and billing analysis for the current quarter.

Does this billing analysis approach work for revenue operations teams and product managers?

Billing analysis suits billing analysts, product managers, and revenue operations teams seeking code-backed billing insights and accurate sales snapshots to identify discrepancies in team-billing practices.

Why does our checkout flow billing behavior not match our documented pricing model?

Checkout flow discrepancies occur when actual code-based billing behavior differs from documented claims, requiring inspection of live billing data and product truth to identify the exact mismatch.

What's the best way to audit ECC revenue and pricing accuracy for the current quarter?

Audit ECC revenue and pricing accuracy by applying an evidence-first workflow that inspects live billing data, code, and product truth to verify team-billing practices and identify discrepancies.