Nexus BSS/OSS · Telecom operations

Order to cash.
Service to support.

The commercial and operational spine of a network operator. Products, subscribers, rating, billing, provisioning and assurance in one platform, integrated with the finance ledger from day one.

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What it does

Product catalogue

Model tariffs, bundles and add-ons once, and have sales, billing and provisioning all read the same definition.

Subscriber management

The full lifecycle from activation through plan change, suspension, port and churn, with history kept intact.

Rating and charging

Usage rated against the plan that applied at the time, with bundles, fair use and out of bundle handled correctly.

Billing and collections

Cycle billing, prorated changes, disputes and credit control that ties straight to accounts receivable.

Provisioning and assurance

Orders flow to the network, and faults flow back, so a service problem and a billing problem are visible together.

Interconnect and partners

Settlement with carriers and partners, reconciled rather than estimated.

Why operators choose it

Billing that ties out

Rating, invoicing and the general ledger are one system, so revenue assurance stops being an annual project.

Change a tariff in a morning

Catalogue driven, so a new plan is configuration rather than a development cycle.

Built for regulated reporting

Records are dated, versioned and auditable, because a regulator will eventually ask.

See it with your own numbers

Every application runs on the same platform, so finance, people and operations share one set of records. Book a walkthrough and we will load a slice of your data.

Inside the product

The screens your team would live in

Captured from the live demo, loaded with a modelled business rather than a handful of sample rows.