finance-billing-ops

Analyze ECC billing operations for revenue, pricing, refunds, and team billing.

Updated Apr 6, 2026
One-click install
npx skills add https://github.com/thangvawn/agent_financial --skill finance-billing-ops-thangvawn
Or copy as Structured Prompt for Agent
Please help me install this Agent Skill.
Skill: finance-billing-ops
Source: https://github.com/thangvawn/agent_financial/tree/main/.cursor/skills/finance-billing-ops
Command: npx skills add https://github.com/thangvawn/agent_financial --skill finance-billing-ops-thangvawn

SYSTEM DOCUMENTATION & REQUIREMENTS

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

What problem does it solve?

This Skill provides a detailed, evidence-first analysis of revenue, pricing, refunds, team-billing, and billing-model truth for ECC. It helps users understand financial data, pricing decisions, team seat logic, and product behavior.

Core Features & Use Cases

  • Revenue Analysis: Offers a sales snapshot, MRR, and recent customer activity insights.
  • Pricing Comparison: Enables competitor pricing comparisons and benchmarks.
  • Duplicate Charge Diagnosis: Diagnoses duplicate charges and their impact.
  • Code-Backed Truth: Validates product behavior against the code and claims.
  • Use Case: If a user needs to understand why a certain pricing model is implemented or if there's a discrepancy in team billing logic, this skill can provide the necessary evidence and analysis.

Quick Start

Use the finance-billing-ops skill to analyze the revenue and pricing model of the latest quarter's billing 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 analyze billing operations data for revenue and pricing discrepancies?

Billing operations analysis examines revenue, pricing models, refunds, and team seat logic using billing evidence and code repository inspection. This approach validates product behavior to ensure accurate financial insights and identify discrepancies.

Why does our team billing logic show duplicate charges?

Duplicate charges in team billing are diagnosed by inspecting the code repository and billing evidence to identify discrepancies. This process reveals why specific pricing models are implemented and validates actual product behavior against claims.

Can I use billing evidence to compare competitor pricing models?

Competitor pricing comparison is supported by benchmarking your billing evidence and pricing models against external data. This enables quantitative evaluation of revenue, pricing decisions, and product behavior within your market context.

How do I validate product behavior against code for financial accuracy?

Product behavior validation requires inspecting relevant code repositories to verify team seat logic and pricing models. This code-backed truth approach ensures financial analysis accurately reflects implemented billing operations and revenue rules.

What data do I need for a comprehensive revenue and MRR analysis?

Revenue and MRR analysis requires access to billing data, pricing models, and relevant code repositories. This evidence-first approach evaluates recent customer activity and sales snapshots to deliver accurate financial operations insights.