luminaris-accounting-architect

Validate accounting plans against project decisions and domain invariants.

Updated Jun 18, 2026
One-click install
npx skills add https://github.com/web3br1/luminaristest --skill luminaris-accounting-architect
Or copy as Structured Prompt for Agent
Please help me install this Agent Skill.
Skill: luminaris-accounting-architect
Source: https://github.com/web3br1/luminaristest/tree/main/.claude/skills/luminaris-accounting-architect
Command: npx skills add https://github.com/web3br1/luminaristest --skill luminaris-accounting-architect

SYSTEM DOCUMENTATION & REQUIREMENTS

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

What problem does it solve?

This Skill addresses the complexity and intricacies of accounting tasks, ensuring accurate financial plans and maintaining domain-specific standards.

Core Features & Use Cases

  • Domain Expertise Integration: Integrates with the Luminaris orchestrator to validate accounting decisions.
  • Real-World Project Reconciliation: Ensures plans align with real project decisions and invariants.
  • Domain Reconciliation: Produces a detailed domain review before plan activation.
  • Use Case: Before deploying a new accounting module, use this Skill to validate the design against existing project invariants and financial best practices.

Quick Start

Use the luminaris-accounting-architect skill to review the accounting design for the new payroll module.

Frequently Asked Questions about luminaris-accounting-architect

High-intent search queries and answers about installing and using this skill.

FAQPage Schema
How do I validate accounting plans against project decisions before deployment?

To validate accounting plans against project decisions, you can use domain expertise integration to reconcile designs with existing project invariants. This produces a detailed domain review before plan activation, ensuring financial plans align with real-world project constraints.

What is domain reconciliation in financial planning and when is it needed?

Domain reconciliation in financial planning is the process of verifying accounting designs against domain-specific invariants and best practices. It is needed before deploying new accounting modules to ensure compliance validation and maintain accurate financial standards.

Does Prisma support accounting data validation and invariant checking workflows?

Yes, Prisma supports accounting data validation workflows by providing the required database management infrastructure. It enables invariant checking by ensuring accounting plans are properly reconciled with project decisions stored in the database.

How do I automate accounting tasks requiring domain expertise and compliance validation?

You can automate accounting tasks requiring domain expertise by applying invariant checking to financial plans. This automated domain reconciliation validates project decisions against established accounting rules, producing a detailed review before activation.

What are the limitations of using domain expertise for accounting plan reconciliation?

A limitation of accounting plan reconciliation is its dependency on Prisma for database management and domain-specific decision-making criteria. The validation process requires established project invariants to exist, meaning newly formed projects without prior financial rules may lack sufficient context.

Can I use accounting validation scripts with financial planning workflows?

Yes, you can use accounting validation scripts with financial planning workflows to ensure plans align with real project decisions. The scripts facilitate domain reconciliation by checking invariants and producing a detailed domain review prior to plan activation.