Billing and BSS for ISPs and telcos

Run the complete accounting process.

Define chargeable items, create invoices, and execute settlement runs for SEPA, card, or ACH payments.

Current in the August 2026 A–Z catalog. Package: BillingBase
  1. 01DefineConfigure products and tariffs, then assign dated items to customer contracts.
  2. 02SettleRun periodic settlement to calculate charges and create customer invoices.
  3. 03CollectExport SEPA transactions or charge card and ACH payments through a payment gateway.

Core functionality

Run the complete accounting process.

01

Products and items

  • Configurable products and tariffs
  • Multiple items per customer
  • One-time, monthly, quarterly, semi-annual, or yearly periods
02

Settlement and payments

  • Automated settlement runs
  • SEPA XML for direct debit
  • Card and ACH transactions with Payment Gateways
03

Invoices and organization

  • Invoices per customer
  • Companies, accounts, and cost centers
  • Configurable invoice data and LaTeX templates

Source: Canonical source: Confluence page 8520097, current in August 2026. Technical docs

Product media

See Prime Billing in action.

Play the walkthrough without loading YouTube until you choose to watch.

Connected stack

Map your billing process.

Review tariffs, billing periods, payment methods, and settlement requirements with NMS Prime.

Book a strategy call