Marineconnect finance audit
Audit MarineConnect finance state. Use for pricing mismatches, wrong tenant prices, currency conversion/rates, marketplace price issues, tenant debt anomalies, invoice/payment inconsistency, quote validation, Starlink usage billing review, and finance evidence reports.From its SKILL.md
npx -y skills add Marineconnect/marineconnect-agent-skills --skill marineconnect-finance-auditAssembled from the repository path, not quoted from the project. Check it against their README if it does not work.
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SKILL.md
1.0 KB, 145 tokens by cl100k_base, as published. Nobody here has run it
MarineConnect Finance Audit
Workflow
- Resolve tenant/device/plan/invoice/pricing ids.
- Compare global plan, tenant pricing, device/vessel pricing, and invoice/payment state.
- Use
finance_audit_pricing_mismatchesfor mismatch checks. - Use
finance_list_currency_ratesandfinance_convert_currencyfor currency issues. - Use Starlink usage summary/rows tools when billing depends on Starlink usage.
- Cross-check invoice and payment state through
marineconnect-invoice-paymentworkflow when needed.
Output
- Issue statement, expected vs actual price/source, affected tenant/device/invoice, confidence, and recommended correction path without performing the correction.
What ships with it: 1 file
485 B alongside SKILL.md
agents/
- openai.yaml485 B