Customer Billing Ops

affaan-m/ECC/skills/customer-billing-ops

by affaan-mef648e01899ba3e8dc6371642deaaf64b4477775No license275K starsListed Oct 9, 2026Updated Oct 9, 2026Repository updated 4 days ago

Operate customer billing workflows such as subscriptions, refunds, churn triage, billing-portal recovery, and plan analysis using connected billing tools like Stripe. Use when the user needs to help a customer, inspect subscription state, or manage revenue-impacting billing operations.

AI-generated overview

Guides operators through customer billing cases such as refunds, duplicate subscriptions, churn triage and portal recovery.

What it does
Provides a structured workflow for handling real customer billing operations using connected billing tools such as Stripe. It covers identifying the customer, classifying the issue, taking the safest reversible action, checking operator-side product gaps, and producing an operator handoff with a customer message and backlog item. Output follows a fixed format covering customer, billing state, decision, action taken, follow-up and product gap.
When to use it
Use when a customer reports broken billing, wants a refund, or cannot cancel, or when investigating duplicate subscriptions, accidental charges, failed renewals, churn risk, plan mix or billing portal flows. Also suited to auditing support complaints involving subscriptions, invoices, refunds or payment methods.
Requirements
Instructions only; no scripts are shipped. Requires access to connected billing tools such as Stripe, and optionally email, GitHub or issue trackers as supporting evidence.

Customer Billing Ops

Use this skill for real customer operations, not generic payment API design.

The goal is to help the operator answer: who is this customer, what happened, what is the safest fix, and what follow-up should we send?

When to Use

  • Customer says billing is broken, they want a refund, or they cannot cancel
  • Investigating duplicate subscriptions, accidental charges, failed renewals, or churn risk
  • Reviewing plan mix, active subscriptions, yearly vs monthly conversion, or team-seat confusion
  • Creating or validating a billing portal flow
  • Auditing support complaints that touch subscriptions, invoices, refunds, or payment methods

Preferred Tool Surface

  • Use connected billing tools such as Stripe first
  • Use email, GitHub, or issue trackers only as supporting evidence
  • Prefer hosted billing/customer portals over custom account-management code when the platform already provides the needed controls

Guardrails

  • Never expose secret keys, full card details, or unnecessary customer PII in the response
  • Do not refund blindly; first classify the issue
  • Distinguish among:
    • accidental duplicate purchase
    • deliberate multi-seat or team purchase
    • broken product / unmet value
    • failed or incomplete checkout
    • cancellation due to missing self-serve controls
  • For annual plans, team plans, and prorated states, verify the contract shape before taking action

Workflow

1. Identify the customer cleanly

Start from the strongest identifier available:

  • customer email
  • Stripe customer ID
  • subscription ID
  • invoice ID
  • GitHub username or support email if it is known to map back to billing

Return a concise identity summary:

  • customer
  • active subscriptions
  • canceled subscriptions
  • invoices
  • obvious anomalies such as duplicate active subscriptions

2. Classify the issue

Put the case into one bucket before acting:

CaseTypical action
Duplicate personal subscriptioncancel extras, consider refund
Real multi-seat/team intentpreserve seats, clarify billing model
Failed payment / incomplete checkoutrecover via portal or update payment method
Missing self-serve controlsprovide portal, cancellation path, or invoice access
Product failure or trust breakrefund, apologize, log product issue

3. Take the safest reversible action first

Preferred order:

  1. restore self-serve management
  2. fix duplicate or broken billing state
  3. refund only the affected charge or duplicate
  4. document the reason
  5. send a short customer follow-up

If the fix requires product work, separate:

  • customer remediation now
  • product bug / workflow gap for backlog

4. Check operator-side product gaps

If the customer pain comes from a missing operator surface, call it out explicitly. Common examples:

  • no billing portal
  • no usage/rate-limit visibility
  • no plan/seat explanation
  • no cancellation flow
  • no duplicate-subscription guard

Treat those as ECC or website follow-up items, not just support incidents.

5. Produce the operator handoff

End with:

  • customer state summary
  • action taken
  • revenue impact
  • follow-up text to send
  • product or backlog issue to create

Output Format

Use this structure:

text
CUSTOMER- name / email- relevant account identifiers
BILLING STATE- active subscriptions- invoice or renewal state- anomalies
DECISION- issue classification- why this action is correct
ACTION TAKEN- refund / cancel / portal / no-op
FOLLOW-UP- short customer message
PRODUCT GAP- what should be fixed in the product or website

Examples of Good Recommendations

  • "The right fix is a billing portal, not a custom dashboard yet"
  • "This looks like duplicate personal checkout, not a real team-seat purchase"
  • "Refund one duplicate charge, keep the remaining active subscription, then convert the customer to org billing later if needed"

Source and attribution

Source:affaan-m/ECCinskills/customer-billing-opsat commitef648e0

License: No license

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